Text extracted via OCR from the original document. May contain errors from the scanning process.
739116312 Account Name :
Ghislaine Maxwell Paid Date Transaction Authorization
Date Transaction AuthorizationTime Account Number Transaction Type
C=Credit DÞbits Description Amount P4=-87,553.94
SUM(H5:H65536)=-$87,553.94 01/02/07 739116312 Outbound Fed Wire
Transfer
D
-$3,004.50
Total No of Transactions
P53
COUNT(D5:D65536)3 01/02/07 739116312 Interest Payment
C
$170.33 No of Accounts AutoClose=1
SUMPRODUCT(($D5:$D20003<>"")/COUNTIF($D5:$D20003,$D5:$D20003&""))=1
01/04/07 01/17/07 01/18/07 $5,034.26 -$50,000.00 739116312
[repeated 3 times]
ACH Deposit Debit Adjustment
ACH Deposit
C
C
D
$5,888.27 01/22/07 739116312 Check
D
$12,000.00 01/23/07 739116312 Check
D
$4,946.00 01/23/07 739116312 Check
D
$2,779.95 01/23/07 739116312 Check
D
$1,396.00 01/23/07 739116312 Check
D
$1,132.00 01/25/07 739116312 Deposit C $27,557.55 01/25/07
739116312 Deposit C $2,507.43 01/25/07 739116312 Deposit C
$569.67 01/25/07 739116312
D
-$120,000.00 01/25/07 739116312 Check
D
$988.49 01/25/07 739116312
ACH Deposit
C
$105,000.00 01/26/07 739116312
ACH Deposit
C
$105,000.00 01/26/07 739116312 Check
D
$200.00
PROT0
01/29/07 Transfer
D
739116312 -$2,999.55 02/01/07 739116312
ACH Deposit
C
$5,888.26 02/01/07 739116312
C
$117.89 02/08/07 739116312
D
-$25,000.00 02/08/07 739116312 Check
D
$660.00 02/15/07 739116312
ACH Deposit
C
$5,888.26 02/20/07 739116312
D
-$75,000.00 02/20/07 739116312 Check
D
$1,000.00 02/28/07 739116312 Credit Adjustment
C
$0.00 02/28/07 739116312 Transfer
D
-$3,004.35 03/01/07 739116312
ACH Deposit
C
$5,888.26 03/01/07 739116312
C
$139.43 03/01/07 739116312
C
$0.00 03/02/07 739116312 Inbound Fed Wire Transfer
C
$10,000.00 03/05/07 739116312 Check
D
$400.00 03/05/07 739116312 Check
D
$412.50 03/09/07 739116312 Check
D
$410.00 03/09/07 739116312
ACH Deposit
C
$105,000.00 03/13/07 739116312
D
-$50,000.00 03/15/07 739116312
ACH Deposit
C
$5,888.27 03/19/07 739116312 Deposit C $11,683.91 03/19/07
739116312 Check
D
$846.69 03/19/07 739116312 Deposit C $121.60 03/19/07
739116312 Check
D
$248.00 03/21/07 739116312 Check
D
$300.00 03/22/07 739116312 Check
D
PROT1
$1,000.00 03/22/07 739116312
D
-$50,000.00 03/23/07 739116312 Check
D
$40.00 03/28/07 739116312 Transfer
D
-$3,014.25 03/29/07 739116312 Check
D
$247.50 03/29/07 739116312
ACH Deposit
C
$5,888.26 03/29/07 739116312 Check
D
$330.80 03/30/07 739116312
C
$0.00 04/02/07 739116312
C
$146.83 04/02/07 739116312
C
$0.00 04/04/07 739116312
ACH Deposit
C
$105,000.00 04/05/07 739116312 Check
D
$313.50 04/12/07 739116312
ACH Deposit
C
$5,888.26 04/12/07 739116312
ACH Deposit
C
$105,000.00 04/12/07 739116312
D
-$50,000.00 04/16/07 739116312
ATM Purchase
D
-$117.06 04/18/07 739116312 Check
D
$313.50 04/20/07 739116312 Check
D
$805.64 04/23/07 739116312 Check
D
$495.00 04/23/07 739116312 Check
D
$75,000.00 04/23/07 739116312 Check
D
$50,000.00 04/23/07 739116312 Check
D
$2,300.00 04/25/07 739116312 Transfer
D
-$3,060.00 04/26/07 739116312
ACH Deposit
C
$6,290.22 04/27/07 739116312 Deposit C $62,502.03 04/30/07
739116312
C
$0.00
PROT2
05/01/07 05/01/07 $6,500.00 05/01/07 05/08/07 $1,369.68
05/08/07 $10,308.45 05/08/07 05/10/07 $0.00 [repeated 4 times]
$263.83 [repeated 6 times] -$55.00 739116312 [repeated 7 times]
Check
D
Deposit C Deposit C Withdrawal
D
ACH Deposit
C
[repeated 3 times] $6,599.20 05/10/07 739116312 Check
D
$1,250.00 05/15/07 739116312 Deposit C $285.46 05/21/07
739116312 Check
D
$2,000.00 05/24/07 739116312
ACH Deposit
C
$6,599.21 05/25/07 739116312 Transfer
D
-$3,043.50 05/30/07 739116312
D
-$50,000.00 05/31/07 739116312
C
$0.00 06/01/07 739116312
C
$279.22 06/01/07 739116312
C
$0.00 06/06/07 739116312 Deposit C $9,025.00 06/06/07
739116312 Check
D
$620.00 06/06/07 739116312 Check
D
$400.00 06/07/07 739116312
ACH Deposit
C
$6,599.20 06/07/07 739116312
ACH Deposit
C
$105,000.00 06/08/07 739116312 Check
D
$7.00 06/12/07 739116312 Check
D
$1,396.00 06/12/07 739116312 Check
D
$1,133.00 06/12/07 739116312 Check
D
$4,947.00 06/12/07 739116312 Check
D
PROT3
$190.00 06/14/07 739116312 Check
D
$1,842.00 06/15/07 739116312 Transfer $7,400,000.00
06/18/07 739116312
D
-$7,400,000.00 06/20/07 739116312 Check
D
$10,000.00 06/21/07 739116312
ACH Deposit $6,599.20 06/22/07 739116312
D
-$100,000.00 06/22/07 739116312 Check
D
$27,409.53 06/22/07 739116312 Check
D
$40,000.00 06/22/07 739116312 Deposit C $948.57 06/26/07
739116312
ACH Deposit
7
$105,000.00 06/27/07 739116312 Check
D
$464.42 06/28/07 739116312
D
-$75,000.00 06/29/07 739116312
C
7
$0.00 07/02/07 739116312
C
7
$0.00 07/02/07 739116312
C
7
$1,774.31 07/05/07 739116312
ACH Deposit
7
$6,599.20 07/19/07 739116312
ACH Deposit
7
$6,599.20 07/20/07 739116312
ATM Purchase -$25.00 07/23/07 739116312 Check $73.00
07/27/07 739116312 Check $40.00 07/31/07 739116312
Check $200.00 08/01/07 739116312
C
7
$190.72 08/02/07 739116312
ACH Deposit
7
$6,599.20 08/06/07 739116312 Deposit C $21,405.54 08/13/07
739116312 -$75,000.00
PROT4
08/14/07 08/15/07 08/16/07 08/20/07 $800.00 08/24/07
$318.45 08/30/07 -$50,000.00 $105,000.00 $6,599.20
739116312 739116312
ACH Deposit 739116312
ACH Deposit 739116312 Check
D
739116312 Deposit C 739116312
ACH Deposit
D
NES LLC
PAYROLL 604011394426TPW PPD ID: 9111111101 $6,599.20
08/31/07 739116312 $211.85 09/04/07 739116312 Deposit C
$62,085.00 09/11/07 739116312 Check
D
$535.00 09/13/07 739116312
ACH Deposit
C
NES LLC
PAYROLL 647011940665TPW PPD ID: 9111111101 $6,599.20
09/20/07 739116312 Check
D
$10,000.00 09/24/07 739116312 Check
D
$40,000.00 09/25/07 739116312 Check
D
$236.55 09/25/07 739116312 Check
D
$320.00 09/27/07 739116312
ACH Deposit
NES LLC
PAYROLL 704016769752TPW PPD ID: 9111111101 $6,746.90
09/28/07 739116312 $256.76 09/28/07 739116312
ACH Deposit
CWB TRANSFER 29661747 59165511
PPD ID: 4770527921 $1,594.77 10/02/07 739116312 Deposit C
$5,067.70 10/02/07 739116312 Deposit C $23.52 10/02/07
739116312 Check
D
$50,000.00 10/03/07 739116312 Check
D
$192.00 10/03/07 739116312 Transfer
D
DDA BOURNEMOUTH UNITED KINGDOM BH7 7-DBORG: FX USD INCOMING/FED/CHIPS/DDA C/-
0 CHASE MANHATTAN BK, CHASESIDE OGB: FX OPERATIONS NEW YORK NY REF:/0CMT/-
USD52063,68/BNF/GBP25000.00 TRN: 7678300276FX -$52,063.68
10/11/07 739116312
ACH Deposit
C
NES LLC
DIRECT DEP 170013309278TPW PPD ID: 9111111101 $6,856.05
10/15/07 739116312 Check
D
$1,100.00
PROT5
10/17/07 739116312 Pre-Authorized Payment
D
FUNDS TRANSFERRED FROM DDA AC# 000000739116312 TO DDA AC#
000000695238154 As req -$10,000.00 10/19/07 739116312
Check
D
$183.00 10/22/07 739116312 Check
D
$2,354.00 10/23/07 739116312 Check
D
$4,345.00 10/25/07 739116312
ACH Deposit
C
NES LLC
DIRECT DEP 784013353783TPW PPD ID: 9111111101 $6,856.05
10/30/07 739116312 Check
D
$350.00 10/31/07 739116312
C
$125.67 11/06/07 739116312 Check
D
$37.00 11/07/07 739116312
D
000000739474324 As requested -$75,000.00 11/08/07 739116312
Transfer
C
043000261 B/0: GHISLAINE MAXWELL NEW YORK NY 10022-6843 REF: CHASE NYC/CTR/-
BNF=GHISLAINE MAXWELL NEW YORK NY 10022-/AC-000000007391 RFB=O/B MELLON BANK
BBI=/TIME/14:46 IMAD: 1108D3QCI200004216 TRN: 0425307312FF
$100,000.00 11/08/07 739116312
ACH Deposit
C
NES LLC
DIRECT DEP 766013289275TPW PPD ID: 9111111101 $6,856.06
11/13/07 739116312 Check
D
$1,000.00 11/13/07 739116312
ATM Purchase
D
1110J SISTER INTERNATIONAL NEW YORK NY 4124540000105740
-$156.20 11/13/07 739116312
D
000000739474235 As requested -$50,000.00 11/15/07 739116312
Check
D
$1,000.00 11/23/07 739116312
ACH Deposit
C
NES LLC
DIRECT DEP 580005348151TPW PPD ID: 9111111101 $6,856.05
11/26/07 739116312 Deposit C $36,528.75 11/28/07 739116312
Check
D
$21.00 11/30/07 739116312
C
$86.74 12/04/07 739116312 Check
D
$35.00 12/06/07 739116312
ACH Deposit
C
NES LLC
DIRECT DEP 644012682116TPW PPD ID: 9111111101 $6,856.05
12/11/07 739116312 Deposit C $39,137.13 12/13/07 739116312
Check
D
PROT6
$2,000.00 12/17/07 739116312 Transfer
D
CHIPS DEBIT VIA: BANK OF AMERICA N.A./0959 A/C: WE
HALL HORSES, INC. REF: MINI PONY SSN: 0407938 TRN: 0913700351ES
-$900.00 12/20/07 739116312 Deposit C $10,543.30 12/20/07
739116312
ACH Deposit
C
NES LLC
DIRECT DEP 623013204506TPW PPD ID: 9111111101 $6,856.05
12/20/07 739116312 Pre-Authorized Deposit
C
FUNDS TRANSFERRED FROM DDA AC# 000000739264567 TO DDA AC#
000000739116312 Letter from client $1,322.57 12/21/07
739116312
D
000000739474324 AS REQUESTED -$75,000.00 12/24/07 739116312
Check
D
$300.00 12/26/07 739116312 Check
D
$600.00 12/31/07 739116312
C
$122.47 01/02/08 739116312 Check
D
$300.00 01/03/08 739116312
ACH Deposit
C
NES LLC
DIRECT DEP 619008318446TPW PPD ID: 9111111101 $5,894.35
01/07/08 739116312 Transfer
C
FED WIRE CREDIT VIA: BANK OF AMERICA N.A./026009593
B/0: GHISLAINE MAXWELL NEW YORK NY 10022-6843 REF: CHASE NYC/CTR/-
BNF=GHISLAINE MAXWELL NEW YORK NY 10022-/AC-000000007391 RFB19600007 BBI=/-
TIME/11:03 IMAD: 0107B6B7HU4R001352 TRN: 0187501007FF
$100,000.00 01/07/08 739116312
D
000000739474324 AS REQUESTED -$75,000.00 01/10/08 739116312
Check
D
$500.00 01/11/08 739116312 Transfer
C
FED WIRE CREDIT VIA: WELLS FARGO NA/121000248 B/0:
GHISLAINE MAXWELL NEW YORK NY 10022-6843 REF: CHASE NYC/CTR/BNF=GHISLAINE
MAXWELL NEW YORK NY 10022-/AC-000000007391 RFB95700005 BBI=/TIME/12:43
IMAD: 0111I1B7036R001359 TRN: 0329709011FF $150,000.00
01/14/08 739116312 Check
D
$65,000.00 01/15/08 739116312 Check
D
$927.50 01/15/08 739116312
D
000000739474235 AS REQUESTED -$50,000.00 01/15/08 739116312
Check
D
$70,000.00 01/17/08 739116312
ACH Deposit
C
NES LLC
DIRECT DEP 673012524289TPW PPD ID: 9111111101 $5,894.35
01/23/08 739116312 Check
D
PROT7
$3,468.00 01/29/08 739116312 Check
D
$200.00 01/31/08 739116312
C
$117.23 01/31/08 739116312
ACH Deposit
C
NES LLC
DIRECT DEP 559013475478TPW PPD ID: 9111111101 $5,894.36
02/04/08 739116312 Check
D
$1,500.00 02/05/08 739116312 Check
D
$73.00 02/06/08 739116312 Check
D
$5,667.00 02/06/08 739116312 Check
D
$1,046.00 02/06/08 739116312 Check
D
$2,747.89 02/13/08 739116312 Check
D
$275.00 02/13/08 739116312 Deposit C $389.26 02/14/08
739116312
ACH Deposit
C
NES LLC
DIRECT DEP 699019238177TPW PPD ID: 9111111101 $5,894.35
02/20/08 739116312 Check
D
$825.00 02/27/08 739116312 Check
D
$195.00 02/28/08 739116312
ACH Deposit
C
NES LLC
DIRECT DEP 760009143265TPW PPD ID: 9111111101 $5,894.35
02/28/08 739116312 Check
D
$1,000.00 02/28/08 739116312 Deposit C $285.00 02/29/08
739116312
C
$42.05 03/07/08 739116312 Check
D
$500.00 03/10/08 739116312 Check
D
$232.00 03/11/08 739116312 Check
D
$2,550.00 03/12/08 739116312
D
000000739474235 As requested -$50,000.00 03/13/08 739116312
ACH Deposit
C
NES LLC
DIRECT DEP 532009515461TPW PPD ID: 9111111101 $5,894.35
03/14/08 739116312 Transfer
C
043000261 B/0: GHISLAINE MAXWELL NEW YORK NY 10022-6843 REF: CHASE NYC/CTR/-
BNF=GHISLAINE MAXWELL NEW YORK NY 10022-/AC-000000007391 RFB=O/B MELLON BANK
BBI=/TIME/15:16 IMAD: 0314D3QCI200005165 TRN: 0574613074FF
PROT8
$3,000,000.00 03/14/08 739116312
D
FUNDS TRANSFERRED FROM PIER MGT A/C 00000000000739116312TOPIER CRCON
A/C 00000000000060015630 -$3,000,000.00 03/17/08 739116312
Check
D
$4,414.00 03/18/08 739116312 Check
D
$86.50 03/18/08 739116312 Check
D
$86.50 03/19/08 739116312 Transfer
C
043000261 B/0: GHISLAINE MAXWELL NEW YORK NY 10022-6843 REF: CHASE NYC/CTR/-
BNF=GHISLAINE MAXWELL NEW YORK NY 10022-/AC-000000007391 RFB=O/B MELLON BANK
BBI=/TIME/12:25 IMAD: 0319D3QCI200002974 TRN: 0291303079FF
$3,278,618.74 03/19/08 739116312 Check
D
$40.00 03/19/08 739116312
D
FUNDS TRANSFERRED FROM DDA A/C# 00000000000739116312 TO FUND SMP A/C#
7681050870 Investment in the JP Morgan Funds -$3,278,618.74
03/25/08 739116312
D
FUNDS TRANSFERRED FROM DDA A/C# 00000000000739116312 TO PRN A/C#
Q52167006 As requested -$6,278,000.00 03/25/08 739116312
C
FUNDS TRANSFERRED FROM FUND SMP A/C#7681050870 TO DDA A/C#
00000000000739116312 Redemption from the JP Morgan Funds $6,278,000.00
03/27/08 739116312
ACH Deposit
C
NES LLC
DIRECT DEP 619009651391TPW PPD ID: 9111111101 $5,894.36
03/31/08 739116312
C
$26.74 04/04/08 739116312 Deposit C $833,113.00 04/08/08
739116312 Transfer
D
CHIPS DEBIT VIA: CITIBANK/0008 A/C: CITIBANK, N.A.
LONDON WC2R 1HB, ENGLAND BEN: ALBANY TREASURY REF: ACCT#2118246 SSN: 0324603
TRN: 0720200099ES -$409,057.00 04/09/08 739116312 Deposit C
$5,671.50 04/09/08 739116312 Check
D
$1,500.00 04/09/08 739116312
D
FUNDS TRANSFERRED FROM DDA A/C# 00000000000739116312 TO PRN A/C#
Q52167006 As requested RICH KAHAN -$200,000.00 04/10/08
739116312
ACH Deposit
C
NES LLC
DIRECT DEP 798015101633TPW PPD ID: 9111111101 $5,894.35
04/14/08 739116312
D
FUNDS TRANSFERRED FROM DDA A/C# 00000000000739116312 TO DDA A/C#
00000000000739474235 AS REQUESTED -$50,000.00 04/14/08
739116312
ATM Purchase
D
0413TREVI NAILS NEW YORK NY 4124540000105740 -$206.30
PROT9
04/17/08 739116312 Deposit C $151,125.00 04/22/08 739116312
Check
D
$1,500.00 04/23/08 739116312 Check
D
$60,000.00 04/24/08 739116312
ACH Deposit
C
NES LLC
DIRECT DEP 527015071414TPW PPD ID: 9111111101 $6,023.88
04/28/08 739116312 Check
D
$60,000.00 04/29/08 739116312 Check
D
$900.00 04/30/08 739116312
C
$97.87 05/06/08 739116312 Deposit C $3,607.13 05/08/08
739116312
ACH Deposit
C
NES LLC
DIRECT DEP 559015062630TPW PPD ID: 9111111101 $6,611.41
05/13/08 739116312 Check
D
$6,500.00 05/22/08 739116312
ACH Deposit
C
NES LLC
DIRECT DEP 592006400497TPW PPD ID: 9111111101 $6,611.41
05/30/08 739116312 Deposit C $1,083.33 05/30/08 739116312
C
$66.30 06/02/08 739116312
C
FUNDS TRANSFERRED FROM FUND SMP A/C#7681050870 TO DDA A/C#
00000000000739116312 Redemption from the JP Morgan Funds $4,940.99
06/02/08 739116312
D
FUNDS TRANSFERRED FROM DDA A/C# 00000000000739116312 TO PRN A/C#
Q52167006 Phone instructions from client -$4,940.99
06/05/08 739116312
ACH Deposit
C
NES LLC
DIRECT DEP 669016686297TPW PPD ID: 9111111101 $6,611.41
06/06/08 739116312 Check
D
$150.00 06/06/08 739116312
D
FUNDS TRANSFERRED FROM DDA A/C# 00000000000739116312 TO PRN A/C#
Q52167006 As requested -$150,000.00 06/11/08 739116312
Check
D
$1,213.00 06/11/08 739116312 Check
D
$5,668.00 06/11/08 739116312 Check
D
$200.00 06/19/08 739116312
ACH Deposit
C
NES LLC
DIRECT DEP 714018130732TPW PPD ID: 9111111101 $6,611.41
06/23/08 739116312
ATM Purchase
D
0619COLETTEFASHI2127524386 NEW YORK NY 4124540000105740
-$66.26 06/30/08 739116312
C
$39.95
PROT10
07/03/08 739116312
ACH Deposit
C
NES LLC
DIRECT DEP 799016842017TPW PPD ID: 9111111101 $6,611.41
07/09/08 739116312 Deposit C $1,758.20 07/16/08 739116312
Check
D
$247.00 07/17/08 739116312
ACH Deposit
C
NES LLC
DIRECT DEP 385017040745TPW PPD ID: 9111111101 $6,611.41
07/22/08 739116312 Check
D
$490.00 07/24/08 739116312 Check
D
$500.00 07/28/08 739116312 Check
D
$194.00 07/31/08 739116312
C
$35.88 07/31/08 739116312
ACH Deposit
C
NES LLC
DIRECT DEP 644016047909TPW PPD ID: 9111111101 $6,611.41
08/08/08 739116312 Transfer
D
78042GUYANCOURTCEDEX FRANCE BEN:/FR6530002004230000692254E63 MLLE GHISLAINE
MAXWELL REF: CRDIT LYONNAIS PARIS FRIEDLAND 188 BOULEVARD HAUSSMANN 75008
PARIS. BIC: CRLYFRPP TRN: 0460400221ES -$20,000.00
08/14/08 739116312 Check
D
$2,500.00 08/14/08 739116312
ACH Deposit
C
NES LLC
DIRECT DEP 640010958902TPW PPD ID: 9111111101 $6,611.41
08/20/08 739116312
C
FUNDS TRANSFERRED FROM DDA AC# 00000000000060015630 TO DDA
AC#00000000000739116312 PRIME MM MKT DIVIDEND DUE 6/2/08 $0.32
08/22/08 739116312
D
FUNDS TRANSFERRED FROM DDA A/C# 00000000000739116312 TO DDA A/C#
00000000000739474324 AS REQUESTED -$50,000.00 08/22/08
739116312 Deposit C $6,029.38 08/28/08 739116312
ACH Deposit
NES LLC
DIRECT DEP 350017270759TPW PPD ID: 9111111101
C
$6,611.41 08/29/08 739116312
C
$29.90 09/11/08 739116312
ACH Deposit
C
NES LLC
DIRECT DEP 611011041266TPW PPD ID: 9111111101 $6,611.42
09/12/08 739116312 Check
D
$2,140.00 09/25/08 739116312
ACH Deposit
C
NES LLC
DIRECT DEP 759011183306TPW PPD ID: 9111111101 $6,611.41
09/29/08 739116312 Check
D
$220.00 09/30/08 739116312
C
$26.70 10/03/08 739116312 Check
D
$61.00
PROT11
10/07/08 739116312 Transfer
D
78042GUYANCOURTCEDEX FRANCE BEN:/FR6530002004230000692254E63 MLLE GHISLAINE
MAXWELL REF: CREDIT LYONAIS PARIS FRIEDLAND188 BOULEVARD HAUSSMANN 75008
PARISSWF-CRLYFRPP TRN: 0431000281ES -$20,000.00 10/09/08
739116312
ACH Deposit
NES LLC
DIRECT DEP 529018421031TPW PPD ID: 9111111101 $6,611.41
10/09/08 739116312 Check
D
$1,600.00 10/16/08 739116312 Check
D
$335.00 10/17/08 739116312 Check
D
$1,600.00 10/23/08 739116312
D
000000739474324 AS REQUESTED -$150,000.00 10/23/08
739116312
ACH Deposit
NES LLC
DIRECT DEP 745011084775TPW PPD ID: 9111111101 $6,611.41
10/23/08 739116312 Transfer
C
FED WIRE CREDIT VIA: WELLS FARGO NA/121000248 B/0:
THEODORE W WAITT LA JOLLA CA 92038-2409 REF: CHASE NYC/CTR/BNF=GHISLAINE
MAXWELL NEW YORK NY 10022-/AC-000000007391 RFB0001925 OBI=PET
REIMBURSEMENT BBI=/BNF/JPMORGAN CHASE BANKIMAD: 1023I1B7032R002536 TRN:
4747009297FF $2,956.03 10/23/08 739116312
C
FUNDS TRANSFERRED FROM PRN A/C# Q52167006 TO DDA A/C#
00000000000739116312 AS REQUESTED $200,000.00 10/28/08
739116312 Check
D
$21.00 10/31/08
7
11/06/08
NES LLC 11/07/08 Transfer
BOURNEMOUTH, BH7
BOURNEMOUTH, BH7
USD3333,00/BNF/E 11/07/08 $247.00 11/07/08 $700.00
11/20/08
NES LLC 11/26/08 $850.00 11/28/08 12/04/08
NES LLC 12/11/08 739116312 $21.31 739116312
ACH Deposit
DIRECT DEP 695022936581TPW PPD ID: 9111111101 $6,675.65
739116312
D
7DB UNITED KINGDOMORG: FX USD INCOMINGFEDCHIPSDDA
7DB UNITED KINGDOMOGB: FX OPERATIONS NEW YORK NY REF:/OCMT/-
UR2500.00 TRN: 8855800312FX -$3,333.00 739116312 Deposit C
DIRECT 739116312 Check
D
739116312
DEP 617018119723TPW PPD 739116312 739116312 $23.84
739116312
DIRECT DEP 675018158172TPW PPD 739116312
ACH Deposit
ID: 9111111101 $6,868.27 Check
D
ACH Deposit
ID: 9111111101 $6,555.58 Check
D
PROT12
$1,045.00 12/17/08 739116312 Check
D
$800.00 12/18/08 739116312
ACH Deposit
C
NES LLC
DIRECT DEP 325007881829TPW PPD ID: 9111111101 $6,242.87
12/31/08 739116312
C
$30.17 01/02/09 739116312
ACH Deposit
C
NES LLC
DIRECT DEP 620012358047TPW PPD ID: 9111111101 $5,622.02
01/05/09 739116312 Check
D
$1,000.00 01/07/09 739116312 Check
D
$900.00 01/09/09 739116312 Deposit C $141,970.00 01/13/09
739116312 Transfer
C
FED WIRE CREDIT VIA: CITIBANK/021000089 B/0:
BUCKINGHAM RAF PARTNERS, LP NEW YORK NY 100172715 USA REF: CHASE NYC/CTR/-
BNF=GHISLAINE MAXWELL NEW YORK NY 10022-/AC-000000007391 RFB=O/B CITIBANK
NYC BBI=/TIME/16:45 IMAD: 0113B1Q8021CO28346 TRN: 4882109013FF
$823,589.82 01/14/09 739116312 Check
D
$1,069.00 01/15/09 739116312
D
FUNDS TRANSFERRED FROM DDA AC# 000000739116312 TO ASSET AC# Q52167006
TRANSFER AND INVESTMENT INTO JPM FUNDS -$900,000.00
01/16/09 739116312
ACH Deposit
C
NES LLC
DIRECT DEP 362519221605TPW PPD ID: 9111111101 $5,622.02
01/20/09 739116312 Check
D
$2,903.45 01/20/09 739116312 Check
D
$1,132.00 01/20/09 739116312 Check
D
$8,536.00 01/27/09 739116312 Check
D
$1,000.00 01/29/09 739116312
ACH Deposit
C
NES LLC
DIRECT DEP 602012374555TPW PPD ID: 9111111101 $5,622.02
01/30/09 739116312
C
$20.84 01/30/09 739116312
ACH Debit
D
CREDIT CARD
WEB PYMT 403766000746730 WEB ID: 5911111111 -$300.00
02/12/09 739116312
ACH Deposit
C
NES LLC
DIRECT DEP 713013911125TPW PPD ID: 9111111101 $5,622.02
02/13/09 739116312 Check
D
$7,500.00 02/26/09 739116312
ACH Deposit
C
NES LLC
DIRECT DEP 490012766412TPW PPD ID: 9111111101 $5,622.03
02/27/09 739116312
C
$8.99 03/02/09 739116312 Foreign Remittance Debit
D
PROT13
BOURNEMOUTH, BH7 7DB UNITED KINGDOMORG: FX USD INCOMINGFEDCHIPSDDA
BOURNEMOUTH, BH7 7DB UNITED KINGDOMOGB: FX OPERATIONS NEW YORK NY REF:/OCMT/-
USD36538,23/BNF/GBP25000.00 TRN: 5441200061FX -$36,538.23
03/05/09 739116312 Deposit C $12,000.00 03/12/09 739116312
ACH Deposit
C
NES LLC
DIRECT DEP 748011847258TPW PPD ID: 9111111101 $5,622.02
03/24/09 739116312 Check
D
$1,511.00 03/26/09 739116312
ACH Deposit
C
NES LLC
DIRECT DEP 586012529993TPW PPD ID: 9111111101 $5,622.01
03/27/09 739116312
D
000000739474324 AS REQUESTED -$100,000.00 03/27/09
739116312 Check
D
$275 00 03/30/09 739116312 Transfer
C
FED WIRE CREDIT VIA: CITIBANK/021000089 B/O:
BUCKINGHAM RAF PARTNERS, LP NEW YORK NY 100172715 USA REF: CHASE NYC/CTR/-
BNF=GHISLAINE MAXWELL NEW YORK NY 10065-7007/AC-000000007391 RFB=O/B
CITIBANK NYC BBI=/TIME/11:33 IMAD: 0330B1Q8021C015292 TRN: 2198009089FF
$91,509.98 03/30/09 739116312
C
FUNDS TRANSFERRED FROM ASSET AC# Q52167006 TO DDA AC# 000000739116312
AS REQUESTED $450,000.00 03/31/09 739116312
C
$10.06 03/31/09 739116312 Transfer
D
CHIPS DEBIT VIA: BANK OF AMERICA N.A./0959 A/C:
GHISLAINE MAXWELL SSN: 0338672 TRN: 0479900090ES -$500,000.00
04/09/09 739116312
ACH Deposit
C
NES LLC
DIRECT DEP 677019409986TPW PPD ID: 9111111101 $5,622.01
04/10/09 739116312 Check
D
$1,500.00 04/10/09 739116312 Transfer
D
FEDWIRE DEBIT VIA: CITIBANK WEST FSB/321171184 A/C:
ISABEL S. MAXWELL IMAD: 0410B1QGCO2C003629 TRN: 0537100100ES
-$5,000.00 04/10/09 739116312 Check
D
$250.00 04/22/09 739116312 Deposit C $616.00 04/22/09
739116312 Deposit C $5,225.00 04/23/09 739116312
C
FUNDS TRANSFERRED FROM DDA AC# 000000739110438 TO DDA AC#
000000739116312 AS REQUESTED $100,000.00 04/23/09 739116312
ACH Deposit
C
NES LLC
DIRECT DEP 676019892664TPW PPD ID: 9111111101 $5,622.01
04/30/09 739116312
C
$9.21 05/04/09 739116312 Deposit C
PROT14
$40,000.00 05/07/09 739116312
ACH Deposit
C
NES LLC
DIRECT DEP 390019973973TPW PPD ID: 9111111101 $5,585.25
05/07/09 739116312 Check
D
$6,500.00 05/08/09 739116312 Check
D
$1,600.00 05/11/09 739116312 Deposit C $138.68 05/11/09
739116312 Transfer
D
CHIPS DEBIT VIA: CITIBANK/0008 A/C: CITIBANK, N.A.
LONDON WC2R 1HB, ENGLAND BEN: ALBANY TREASURY REF:/ACC/ACCT #: 2118246 NO
NAME GIVEN SSN: 0323379 TRN: 0782700131ES -$20,000.00
05/21/09 739116312
ACH Deposit
C
NES LLC
DIRECT DEP 569013103674TPW PPD ID: 9111111101 $6,064.38
05/21/09 739116312 Check
D
$400.00 05/26/09 739116312 Check
D
$100,000.00 05/29/09 739116312
C
$15.32 06/03/09 739116312 Deposit C $34.33 06/04/09
739116312
ACH Deposit
C
NES LLC
DIRECT DEP 705024657126TPW PPD ID: 9111111101 $6,230.77
06/10/09 739116312 Check
D
$200.00 06/12/09 739116312 Check
D
$1,133.00 06/12/09 739116312 Check
D
$8,536.00 06/18/09 739116312
ACH Deposit
C
NES LLC
DIRECT DEP 757013342753TPW PPD ID: 9111111101 $6,230.77
06/19/09 739116312
D
-$100,000.00 06/24/09 739116312
D
-$50,000.00 06/26/09 739116312 Check
D
$200 00 06/29/09 739116312 Transfer
C
FED WIRE CREDIT VIA: HSBC BANK USA/021001088 B/O:
BNF=GHISLAINE MAXWELL NEW YORK NY 10065-7007/AC-000000007391 RFB=TT
GZC517468 OBI=DIVIDEND 2009 BBI=/TIME/17:39 IMAD: 0629B1Q8983C005014 TRN:
6208309180FF $24,260.71 06/30/09 739116312 Check
D
$1,000.00 06/30/09 739116312
C
$6.76
PROT15
07/02/09 739116312
ACH Deposit
C
NES LLC
DIRECT DEP 791014241890TPW PPD ID: 9111111101 $6,230.77
07/07/09 739116312 Deposit C $141.13 07/07/09 739116312
Check
D
$1,679.35 07/16/09 739116312
ACH Deposit
C
NES LLC
DIRECT DEP 540013876248TPW PPD ID: 9111111101 $6,230.77
07/30/09 739116312
ACH Deposit
C
NES LLC
DIRECT DEP 796021265246TPW PPD ID: 9111111101 $6,230.77
07/31/09 739116312
C
$3.56 08/13/09 739116312
ACH Deposit
C
NES LLC
DIRECT DEP 350022207109TPW PPD ID: 9111111101 $6,230.78
08/14/09 739116312 Deposit C $2,527.63 08/27/09 739116312
ACH Deposit
C
NES LLC
DIRECT DEP 300014892950TPW PPD ID: 9111111101 $6,230.77
08/31/09 739116312
C
$4.18 09/09/09 739116312 Check
D
$348.00 09/10/09 739116312
ACH Deposit
C
NES LLC
DIRECT DEP 717024475197TPW PPD ID: 9111111101 $6,230.77
09/18/09 739116312
C
FUNDS TRANSFERRED FROM MMIA AC# 000002916490721 TO DDA AC#
000000739116312 REF TO FUND CHECKING ACCT $900,000.00
09/18/09 739116312 Transfer
D
CHIPS DEBIT VIA: BANK OF AMERICA N.A./0959 A/C:
GHISLAINE MAXWELL SSN: 0320663 TRN: 0979500261ES -$1,000,000.00
09/24/09 739116312
ACH Deposit
C
NES LLC
DIRECT DEP 725023953495TPW PPD ID: 9111111101 $6,230.77
09/29/09 739116312 Check
D
$36.65 09/30/09 739116312
C
$2.87 10/08/09 739116312
ACH Deposit
C
NES LLC
DIRECT DEP 656021774782TPW PPD ID: 9111111101 $6,230.77
10/20/09 739116312
ATM Purchase
D
1019VISA BUREAU LIMITED LONDON 04124540000105740 -$384.47
10/30/09 739116312
C
$1.01 11/05/09 739116312 Check
D
$1,500.00 11/13/09 739116312 Deposit C $195.00 11/13/09
739116312 Deposit C $62,870.00 11/30/09 739116312
C
$2.33 12/14/09 739116312
ACH Debit
D
PROT16
NYCWATERBOARD
NYCWATERBO 8000875046001
WEB ID: 1133315277 -$574.59 12/15/09 739116312
ATM Purchase
D
1214PIERRE ANTHONY GALLE WEST PALM B FL 04124540000105740
-$4,800.00 12/16/09 739116312 Credit for Customer Claim
C
CREDIT DUE TO DEBIT CARD DISPUTE $384.47 12/16/09 739116312
Interest Adjustment Credit C
INTEREST REFUND $1.95 12/17/09 739116312 Interest Adjustment
Credit C
INTEREST REFUND $0.85 12/17/09 739116312 Credit for Customer
Claim
C
CREDIT DUE TO DEBIT CARD DISPUTE $4,800.00 12/22/09
739116312 Deposit C $8,500.00 12/22/09 739116312 Check
D
$916.48 12/22/09 739116312 Check
D
$600.00 12/29/09 739116312 Foreign Remittance Debit
D
BOURNEMOUTH, BH7 7DB UNITED KINGDOMORG: FX USD INCOMINGFEDCHIPSDDA
BOURNEMOUTH, BH7 7DB UNITED KINGDOMOGB: FX OPERATIONS NEW YORK NY REF:/0CMT/-
USD6504,86/BNF/GBP4000.00 TRN: 6795300363FX -$6,504.86
12/31/09 739116312
C
$3.74 01/07/10 739116312 Check
D
$115.00 01/11/10 739116312 Check
D
$10,096.00 01/11/10 739116312 Check
D
$3,228.51 01/11/10 739116312 Check
D
$935.00 01/13/10 739116312 Deposit C $23,977.00 01/26/10
739116312
D
-$20,000.00 01/29/10 739116312
C
$3.51 02/02/10 739116312 Check
D
$318.00 02/04/10 739116312 Deposit C $950,097.54 02/05/10
739116312
D
FUNDS TRANSFERRED FROM DDA A/C# 00000000000739116312 TO MMIA A/C#
00000000002916490721 AS REQUESTED -$950,000.00 02/05/10
739116312
D
000000799789169 AS REQUESTED -$25,000.00 02/18/10 739116312
Check / Charge
D
REVERSE CREDIT FOR DEBIT CARD DISPUTE -$4,800.00
PROT17
02/19/10 739116312
D
-$30,000.00 02/26/10 739116312
C
$1.81 03/02/10 739116312 Check
D
$4,518.27 03/02/10 739116312 Check
D
$1,964.33 03/04/10 739116312
D
-$75,000.00 03/04/10 739116312
C
Online Transfer from MMA XXXXXX0721 transaction#: 328654587
$100,000.00 03/05/10 739116312
ACH Debit
D
NYCWATERBOARD
NYCWATERBO 8000875046001
TEL ID: 1133315277 -$534.03 03/24/10 739116312
C
Online Transfer from MMA XXXXXX0721 transaction#: 338265012
$100,000.00 03/24/10 739116312
D
-$100,000.00 03/26/10 739116312 Check
D
$250.00 03/31/10 03/31/10 11:59 PM 739116312 Interest
Payment C $1.45 04/16/10 04/16/10 11:59 PM 739116312
Check
D
-$100.00 04/22/10 04/22/10 4:32 PM 739116312 Transfer
D
10017- TRN: 1187600112ES -$52,865.33 04/22/10 04/22/10
2:10 PM 739116312 Pre-Authorized Deposit C Online Transfer from MMA XXXXXX0721 transaction#:
352916938 $50,000.00 04/29/10 04/29/10 1:42 PM 739116312
Check
D
-$5,000.00 04/30/10 04/30/10 11:59 PM 739116312 Interest
Payment C $1.39 05/03/10 05/03/10 11:59 PM 739116312
Check
D
-$9,000.00 05/04/10 05/04/10 3:55 PM 739116312 Transfer
D
WHITE PLAINS NY 10601- TRN: 1306600124ES -$1,000,000.00
05/04/10 05/04/10 8:49 AM 739116312 Pre-Authorized
Deposit C 358880186 $1,050,000.00 05/06/10 05/04/10
4:01 PM 739116312
ATM Purchase
D
0504TREVI NAILS NEW YORK NY 04124540000279396 -$83.00
05/14/10 05/14/10 3:55 PM 739116312 Check
D
-$5,000.00
PROT18
05/20/10 05/18/10 8:11 PM 739116312
ATM Purchase
D
0518MADISON TOWER HEALTH NEW YORK NY 04124540000279396 -$160.00
05/25/10 05/25/10 11:59 PM 739116312 Check
D
-$2,732.00 05/25/10 05/23/10 5:10 0523TREVI NAILS NEW YORK NY
05/26/10
7
05/28/10 Payment C 06/02/10 Payment D 384824843 -$100,000.00
06/02/10 06/02/10 11:59 PM 739116312 Check
D
7
-$10,096.00 06/02/10 06/02/10 11:59 PM 739116312 Check
D
7
-$935.00 06/10/10 06/10/10 11:59 PM 739116312 Check
D
7
-$6,500.00 06/23/10 06/21/10 11:32 AM 739116312
ATM
Purchase
D
0621TREVI NAILS NEW YORK NY 04124540000279396 -$115.50
06/29/10 06/29/10 1:47 PM 739116312 Pre-Authorized
Deposit C 405094735 $50,000.00 06/30/10 06/30/10 11:59 PM
739116312 Interest Payment C $2.79 06/30/10 06/30/10
9:38 AM 739116312 Pre-Authorized Payment D -$50,000.00
07/08/10 07/08/10 9:08 AM 739116312 Deposit C $2,800.00
07/13/10 07/11/10 0711TREVI NAILS NEW 07/20/10 07/20/10
$3,514.21 07/23/10 07/23/10 Enclosable 07/23/10 07/23/10
Enclosable 07/26/10 07/26/10 -$275.00 07/27/10 07/27/10
4:49 PM 739116312 Transfer
D
FEDWIRE DEBIT VIA: CITIBANK WEST FSB/321171184 A/C:
ISABEL S MAXWELL IMAD: 0727B1QGC01C006537 TRN: 1210500208ES
-$500.00 07/30/10 07/29/10 6:23 PM 739116312
ATM Purchase
D
0729NAILS EXPO LA JOLLA CA 04124540000279396 -$96.00
07/30/10 07/30/10 11:59 PM 739116312 Interest Payment C
$1.90 08/05/10 08/05/10 1:28 PM 739116312 Check
D
-$1,500.00 05/26/10 5:17 $102,257.22 05/28/10 11:59 PM
739116312 Interest $2.58 06/02/10 Online Transfer
PM 739116312
ATM Purchase
D
04124540000279396 -$116.50
PM 739116312 Deposit C 9:30 AM 739116312 Pre-Authorized
to MMA XXXXXX0721 transaction#:
1:10 PM 739116312
ATM Purchase
D
YORK NY 04124540000279396 -$206.50 8:38 AM 739116312
Deposit C 6:00 PM 739116312 -$117.50 6:00 PM 739116312
-$5,000.00 11:59 PM 739116312 Check Non Check Non Check
D
PROT19
08/24/10 08/24/10 2:04 AM 739116312 Transfer
C
FED WIRE CREDIT VIA: HSBC BANK USA/021001088 B/0:
GNAT AND COMPANY LIMITED RD CENTRAL HK REF: CHASE NYC/CTR/BNF=GHISLAINE
MAXWELL MIAMI BEACH FL 33139-1331/AC-000000007391 RFB=HK12408000L0890Q
OBI=DIVIDEND 2010 BBI=/TIME/23:05 IMAD: 08246108984C000370 TRN:
0074009236FF $24,260.71 08/26/10 08/26/10 12:40 PM
739116312 Pre- Authorized Payment
D
Online Transfer to MMA XXXXXX0721 transaction#: 550472434 -$25,000.00
08/31/10 08/31/10 11:59 PM 739116312 Interest Payment C
$1.96 09/03/10 09/03/10 11:59 PM 739116312 Check
D
-$260.00 09/14/10 09/12/10 5:38 PM 739116312
ATM Purchase
D
0912TREVI NAILS NEW YORK NY 04124540000279396 -$114.50
09/20/10 09/17/10 2:59 PM 739116312
ATM Purchase
D
0917PRET A MANGER #16 NEW YORK NY 04124540000279396 -$3.26
09/21/10 09/21/10 11:59 PM 739116312 Check
D
-$5,954.94 09/22/10 09/22/10 3:49 PM 739116312 Check Non
Enclosable
D
-$5,000.00 09/22/10 09/22/10 3:49 PM 739116312 Check Non
Enclosable
D
-$2,470.00 09/27/10 09/27/10 2:00 PM 739116312 Pre-Authorized
Deposit C 752871217 $1,000,000.00 09/27/10 09/27/10
4:25 PM 739116312 Transfer
D
CHIPS DEBIT VIA: BANK OF AMERICA N.A./0959 A/C:
GHISLAINE MAXWELL REF:/ACC/MIAMI FL 33131 NO NAME GIVEN SSN: 0422018 TRN:
1521000270ES -$1,000,000.00 09/29/10 09/29/10 4:13 PM 739116312
Transfer
D
CHIPS DEBIT VIA: BANK OF AMERICA N.A./0959 A/C:
GHISLAINE MAXWELL SSN: 0387501 TRN: 1308900272ES -$2,000,000.00
09/29/10 09/29/10 12:25 PM 739116312 Pre- Authorized Deposit
C
Online Transfer from MMA XXXXXX0721 transaction#: 799172413 $2,000,000.00
09/30/10 09/30/10 11:59 PM 739116312 Interest Payment C
$1.56 10/04/10 10/04/10 2:47 PM 739116312 Pre-Authorized
Deposit C 831591816 $100,000.00 10/04/10 10/04/10 11:59 PM
739116312 Check
D
-$358.00 10/06/10 10/06/10 11:59 PM 739116312 Check
D
-$75,000.00 10/06/10 10/06/10 11:59 PM 739116312 Check
D
-$165.00 10/07/10 10/04/10 10:45 PM 739116312
ATM
Purchase
D
1004MADISON TOWER HEALTH NEW YORK NY -$155.00 10/13/10
10/11/10 1:21 PM 739116312
ATM Purchase
D
PROT20
1011TREVI NAILS NEW YORK NY 04124540000279396 -$83.00
10/13/10 10/13/10 5:14 AM 739116312
NYCWATERBOARD
NYCWATERBO 8000875046001
TEL
$856.60 10/15/10 10/15/10 5:03 AM 739116312
VE0000000263776 WEB $0.71 10/15/10 10/15/10 5:03 AM 739116312
VE0000000263776 PPD $0.71 10/15/10 10/15/10
AMERICAN EXPRESS AXP TEST $0.10 10/15/10 10/15/10
AMERICAN EXPRESS AXP TEST $0.10 10/15/10 10/15/10 11:41 AM
Authorized Deposit
C
Online Transfer transaction#: 902754470 $750,000.00
10/15/10 10/15/10 10:46 AM Authorized Deposit
C
Online Transfer transaction#: 902491997 $250,000.00
10/18/10 10/18/10 5:40 AM
MAXWELL GHISLAIN TRANSFER $250,000.00 10/18/10 10/18/10
MAXWELL GHISLAIN TRANSFER $250,000.00 10/18/10 10/18/10
MAXWELL GHISLAIN TRANSFER $250,000.00 10/18/10
MAXWELL $250,000.00 10/25/10 Deposit C 967853197 10/25/10
Transfer
ACH Debit
ID: 1133315277
ACH Debit
ID: 124085066
ACH Deposit
ID: 124085066 5:03 AM 739116312
ACH Deposit
VE0000000263776 PPD ID: 124085066 5:03 AM 739116312
ACH Debit
VE0000000263776 WEB ID: 124085066 739116312 Pre-
from MMA XXXXXX0721 739116312 Pre-
from MMA XXXXXX0721 739116312
ACH Debit
WEB ID: 124085066 5:40 AM 739116312
ACH Debit
WEB ID: 124085066 5:40 AM 739116312
ACH Debit
WEB ID: 124085066 10/18/10 5:40 AM 739116312
ACH Debit
WEB ID: 124085066
D
D
C
C
D
10/25/10 2:59 PM 739116312 Pre-Authorized $1,000,000.00
10/25/10 5:14 PM 739116312
D
LLCWHITE PLAINS NY 10601- TRN: 1540900298ES -$1,000,000.00
10/29/10 10/29/10 11:59 PM 739116312 Interest Payment C
$6.26 11/01/10 10/29/10 2:01 PM 739116312
ATM Purchase
D
1029TREVI NAILS NEW YORK NY 04124540000279396 -$140.00
11/30/10 Payment C 12/09/10 Transfer
0: D W C TANG DEVELOPMENT LTD HONG KONG REF: CHASE NYC/CTR/BNF=GHISLAINE
MAXWELL MIAMI BEACH FL 33139-1331/AC-000000007391 RFB=HK109120OLVGICD3
OBI=BUYOUT I CORRECT SHARES BBI=/BNFIMAD: 1209B1Q8984C001308 TRN:
11/30/10 11:59 PM 739116312 Interest $2.27 12/09/10
5:35 AM 739116312
C
FED WIRE CREDIT VIA: HSBC BANK USA N.A./021001088 B/-
PROT21
0235509343FF $144,975.00 12/14/10 12/14/10 1:56 PM 739116312
Pre-Authorized Deposit C
FUNDS TRANSFERRED FROM DDA AC# 000000695238154 TO DDA AC#
000000739116312 AS REQUESTED $2,863.99 12/21/10 12/21/10
9:52 AM 739116312 Foreign Remittance Debit
D
BOURNEMOUTH, BH7 7DB UNITED KINGDOMORG: FX USD INCOMINGFEDCHIPSDDA
BOURNEMOUTH, BH7 7DB UNITED KINGDOMOGB: FX OPERATIONS NEW YORK NY REF:/0CMT/-
USD79133,70/BNF/GBP50000.00 TRN: 0573300355FX -$79,133.70
12/28/10 12/28/10 11:59 PM 739116312 Check
D
-$9,087.50 12/28/10 12/28/10 11:59 PM 739116312 Check
D
-$11,936.68 12/31/10 12/31/10 11:59 PM 739116312 Interest
Payment C $5.50 01/04/11 01/04/11 4:51 PM 739116312
Pre-Authorized Deposit C
FUNDS TRANSFERRED FROM DDA AC# 000000739474324 TO DDA AC#
000000739116312 AS REQUESTED $3,000,000.00 01/04/11
01/04/11 4:51 PM 739116312 Pre-Authorized Payment D
000000739110438 AS REQUESTED -$3,000,000.00 01/10/11
01/10/11 11:59 PM 739116312 Check
D
-$9,180.06 01/19/11 01/19/11 11:59 PM 739116312 Check
D
-$3,472.80 01/20/11 01/18/11 2:06 PM 739116312
ATM Purchase
D
0119NTL REGISTRY OF EMTS 614-888-448 OH 04124540000279396 -$70.00
01/21/11 01/21/11 8:53 AM 739116312 Deposit C $382.50
01/31/11 01/31/11 11:59 PM 739116312 Check
D
-$593.58 01/31/11 01/31/11 11:59 PM 739116312 Interest
Payment C $3.87 02/22/11 02/18/11 4:39 PM 739116312
ATM Purchase
D
0219NTL REGISTRY OF EMTS 614-888-448 OH 04124540000279396 -$70.00
02/22/11 02/20/11 2:15 PM 739116312
ATM Purchase
D
0220TREVI NAILS NEW YORK NY 04124540000279396 -$131.50
02/28/11 02/28/11 11:59 PM 739116312 Interest Payment C
$3.30 02/28/11 02/28/11 11:59 PM 739116312 Check
D
-$5,341.71 03/01/11 03/01/11 11:59 PM 739116312 Check
D
-$12,518.00 03/01/11 03/01/11 11:59 PM 739116312 Check
D
-$1,132.00 03/01/11 03/01/11 11:59 PM 739116312 Check
D
-$11,902.00 03/01/11 03/01/11 11:59 PM 739116312 Check
D
-$3,479.02 03/01/11 03/01/11 11:59 PM 739116312 Check
D
-$5,134.00
PROT22
03/31/11 03/31/11 11:59 PM 739116312 Interest Payment C
$1.99 04/04/11 04/04/11 1:25 PM 739116312 Check Non
Enclosable
D
-$10,000.00 04/05/11 04/05/11 2:31 AM 739116312
ACH Deposit
C
AEBFSB
PSA CLOSUR 1518XXXXX1
PPD ID: 2124071889 $1,004,274.32 04/05/11 04/05/11
11:59 PM 739116312 Check
D
-$840.00 04/05/11 04/05/11 11:53 AM 739116312 Pre-
Authorized Payment
D
FUNDS TRANSFERRED FROM DDA AC#
000000739116312 TO MMIA AC# 000002916490721 AS REQUESTED -$1,000,000.00
04/05/11 04/05/11 11:59 PM 739116312 Check
D
-$10,923.49 04/06/11 04/06/11 11:59 PM 739116312 Check
D
-$952.80 04/06/11 04/06/11 12:55 PM 739116312 Deposit C
$4,121.23 04/27/11 04/27/11 11:59 PM 739116312 Check
D
-$20,000.00 04/29/11 04/29/11 11:59 PM 739116312 Interest
Payment C $1.27 05/03/11 05/03/11 4:21 PM 739116312
Deposit C $53,451.98 05/09/11 05/08/11 4:59 AM 739116312
ATM Purchase
D
0508DMF INTERNATIONAL INC BANGOR ME 04124540000279396 -$4.46
05/13/11 05/13/11 5:42 PM 739116312 Check
D
-$5,000.00 05/16/11 05/15/11 4:23 PM 739116312
ATM Purchase
D
0515TREVI NAILS NEW YORK NY 04124540000279396 -$114.50
05/23/11 05/22/11 12:12 PM 739116312
ATM
Purchase
D
0522TREVI NAILS NEW YORK NY -$63.00 05/25/11 05/25/11
2:21 PM 739116312 Check Non Enclosable
D
-$14,579.50 05/31/11 05/31/11 11:59 PM 739116312 Interest
Payment C $1.97 06/13/11 06/13/11 10:52 AM 739116312
Deposit C $634.38 06/21/11 06/21/11 11:59 PM 739116312
Check
D
-$10,000.00 06/23/11 06/23/11 12:05 PM 739116312 Deposit C
$378.89 06/30/11 06/30/11 11:59 PM 739116312 Interest
Payment C $0.35 07/15/11 07/15/11 9:47 PM 739116312
ACH Debit
D
AMERICAN EXPRESS WEB REMIT 110715068990175 WEB ID: 2005032111
$1,547.04 07/19/11 07/19/11 3:43 PM 739116312 Transfer
C
CHIPS CREDIT VIA: BANK OF AMERICA N.A./0959 B/O:
GHISLAINE N MAXWELL MIAMI BEACH FL 33139-1331 REF: NBNF=GHISLAINE MAXWELL
PROT23
MIAMI BEACH FL 33139-1331/AC-000000007391 ORG=/229024397059 MIAMI BEACH FL
33139-1331 SSN: 0327050 TRN: 6333900200FC $2,556,631.90
07/20/11 07/20/11 12:26 PM 739116312 Deposit C $872.21
07/25/11 07/23/11 3:32 PM 739116312
ATM Purchase
D
0723TREVI NAILS NEW YORK NY 04124540000279396 -$90.50
07/25/11 07/25/11 3:58 PM 739116312 Pre-Authorized
Payment D
FUNDS TRANSFERRED FROM DDA AC# 000000739116312 TO MMIA AC#
000002916490721 AS REQUESTED 07/29/11 07/29/11 Payment C
$6.53 08/12/11 08/12/11 $1,588.92 08/12/11 08/12/11
-$1,200.00 08/17/11 08/17/11
AMERICAN EXPRESS WEB REMIT $2,190.22 08/22/11 08/22/11
-$997.00 08/25/11 08/25/11
AMERICAN EXPRESS WEB REMIT $661.88 08/31/11 08/31/11
Payment C $14.18 09/08/11 09/07/11 8:49 AM 739116312
ATM Purchase
D
0907DYNAIRE SERVICE CORP MINEOLA NY 04124540000279396 -$518.25
09/15/11 09/14/11 12:48 PM 739116312
ATM
Purchase
D
0914TREVI NAILS NEW YORK NY -$50.50 09/21/11 09/21/11
2:08 AM 739116312
ACH Debit
D
BK OF AM CRD ACH PAYBYPHONE 0147XXXX
PPD ID: 3001190310 $47.38 09/22/11 09/22/11 3:18 PM 739116312
Transfer
C
FED WIRE CREDIT VIA: FIFTH THIRD BANK/042000314 8/-
0: ECOMMERCE LLC COLUMBUS OH 43228 REF: CHASE NYC/CTR/BNF=GHISLAINE MAXWELL
MIAMI BEACH FL 33139-1331/AC-000000007391 RFB=RTL028 \2276571 OBIÊR
PAYMENT LEXUS LS600HL BBI=/TIIMAD: 0922D2B74A1C003081 TRN: 4124109265FF
$58,000.00 09/23/11 09/21/11 2:14 PM 739116312
ATM Purchase
D
0921TREVI NAILS NEW YORK NY 04124540000279396 -$96.00
09/29/11 09/27/11 3:28 PM 739116312
ATM Purchase
D
0927TREVI NAILS NEW YORK NY 04124540000279396 -$61.00
09/30/11 09/30/11 11:59 PM 739116312 Interest Payment C
$13.01 10/05/11 10/04/11 11:48 AM 739116312
ATM
Purchase
D
1004TREVI NAILS NEW YORK NY -$75.00 10/18/11 10/18/11
10:04 PM 739116312
ACH
Debit
D
AMERICAN EXPRESS WEB REMIT 111018061098275 WEB ID:
2005032111 -$684.74 -$1,000,000.00 11:59 PM 739116312
Interest 3:49 PM 739116312 Deposit C 3:51 PM 739116312
Check
D
9:58 PM 739116312
ACH Debit
D
110817061350678 WEB ID: 2005032111 11:59 PM 739116312
Check
D
9:44 PM 739116312
ACH Debit
D
110825060927793 WEB ID: 2005032111 11:59 PM 739116312
Interest
PROT24
10/20/11 10/17/11 12:50 PM 739116312
ATM
Purchase
D
1017EXQUISITE HAND SPA BEVERLY HILLS CA -$38.00 10/27/11
10/26/11 5:09 PM 739116312
ATM Purchase
D
1026TREVI NAILS NEW YORK NY 04124540000279396 -$78.00
10/31/11 10/31/11 11:59 PM 739116312 Interest Payment C
$13.78 11/02/11 10/31/11 2:07 PM 739116312
ATM Purchase
D
1031TREVI NAILS NEW YORK NY 04124540000279396 -$43.50
11/07/11 11/07/11 1:10 PM 739116312 Deposit C $483.00
11/09/11 11/08/11 4:36 PM 739116312
ATM Purchase
D
1108TREVI NAILS NEW YORK NY 04124540000279396 -$45.00
11/10/11 11/10/11 5:52 PM 739116312
ACH Debit
D
AMERICAN EXPRESS WEB REMIT 111110062752227 WEB ID: 2005032111
$3,740.90 11/15/11 11/15/11 11:59 PM 739116312 Check
D
-$270.78 11/17/11 11/16/11 6:39 PM 739116312
ATM Purchase
D
1116CITY OF B H PARKING BEVERLY HILL CA 04124540000279396 -$0.75
11/18/11 11/17/11 3:23 PM 739116312
ATM Purchase
D
1117CITY OF B H PARKING BEVERLY HILL CA 04124540000279396 -$2.00
11/21/11 11/18/11 4:28 PM 739116312
ATM Purchase
D
1118CITY OF B H PARKING BEVERLY HILL CA 04124540000279396 -$1.25
11/21/11 11/16/11 6:39 PM 739116312
ATM Purchase
D
1116EXQUISITE HAND SPA BEVERLY HILLS CA 04124540000279396 -$17.00
11/30/11 11/30/11 11:59 PM 739116312 Interest Payment C
$13.32 12/01/11 12/01/11 10:19 AM 739116312 Inbound
Fed Wire Transfer
C
021001088 B/0: GNAT AND COMPANY LIMITED RD CENTRAL HK REF: CHASE NYC/CTR/-
BNF=GHISLAINE MAXWELL MIAMI BEACH FL 33139-1043/AC-000000007391
RFB=HK1011210QUQ62WY OBI=DIVIDEND 2011 BBI=/TIME/10:18 IMAD:
1201B1Q8982C002206 TRN: 2249709335FF $24,260.71 12/05/11
12/04/11 1:06 PM 739116312
ATM Purchase
D
1204TREVI NAILS NEW YORK NY 04124540000279396 -$44.00
12/06/11 12/06/11 4:17 PM 739116312 Pre-Authorized
Payment D
DDA A/C# 00000000000739116312 TO MMIA A/C# 00000000002916490721 LETTER FROM
CLIENT -$900,000.00 12/12/11 12/12/11 11:59 PM 739116312
Check
D
-$4,197.42 12/21/11 12/21/11 11:59 PM 739116312 Check
D
-$503.09 12/23/11 12/22/11 4:50 PM 739116312
ATM Purchase
D
1222KIM'S SPA ASPEN CO 04124540000279396 -$20.00 12/28/11
12/28/11 6:23 PM 739116312
ACH Debit
D
AMERICAN EXPRESS WEB REMIT 111228061435217 WEB ID: 2005032111
$449.33 12/28/11 12/27/11 1:45 PM 739116312
ATM Purchase
D
1227AUBIN TRAVEL S 2315 ST BARTHELE 04124540000279396Euro
PROT25
142.00 X 1.308310 (EXCHG RTE) -$185.78 12/30/11 12/30/11
11:59 PM 739116312 Interest Payment C $7.40 12/30/11
12/30/11 4:34 AM 739116312
ACH Debit
D
Conexis
WEB PMTS R8Z5Y
WEB ID: 9000010047 $1,039.25 01/10/12 01/10/12 4:52 PM 739116312
Pre-Authorized Payment D
DDA A/C# 00000000000739116312 TO MMIA A/C# 00000000002916490721 AS
REQUESTED -$600,000.00 01/10/12 01/10/12 11:59 PM 739116312
Check
D
-$3,693.65 01/17/12 01/14/12 5:28 PM 739116312
ATM Purchase
D
0114TREVI NAILS NEW YORK NY 04124540000279396 -$39.50
01/20/12 01/20/12 2:19 PM 739116312 Deposit C $296.86
01/23/12 01/21/12 3:41 PM 739116312
ATM Purchase
D
0121TREVI NAILS NEW YORK NY 04124540000279396 -$31.50
01/30/12 01/27/12 2:51 PM 739116312
ATM Purchase
D
0127LILY BEAUTY SALON SAN FRANCISCO CA 04124540000279396 -$30.00
01/31/12 01/31/12 11:59 PM 739116312 Interest Payment C
$2.99 02/08/12 02/08/12 10:03 PM 739116312
ACH
Debit
D
AMERICAN EXPRESS ACH PMT A2968
WEB ID:
9493560001 -$746.51 02/10/12 02/08/12 8:08 AM 739116312
ATM Purchase
D
0209JIM RAU DOG SHOWS LT 610-376-188 PA 04124540000279396 -$67.00
02/13/12 02/13/12 11:59 PM 739116312 Check
D
-$200.00 02/22/12 02/21/12 7:28 PM 739116312
ATM Purchase
D
0221BEVERLY HILLS NAILTI BEVERLY HIL CA 04124540000279396 -$33.00
02/22/12 02/21/12 9:30 PM 739116312
ATM Purchase
D
0221EXQUISITE HAND SPA BEVERLY HILLS CA 04124540000279396 -$85.00
02/29/12 02/29/12 11:59 PM 739116312 Interest Payment C
$1.22 03/01/12 03/01/12 4:32 AM 739116312
ACH Debit
D
Conexis
WEB PMTS
MSNK01
WEB ID: 9000010047 $932.96 03/05/12 03/05/12 11:59 PM
739116312 Check
D
-$1,124.50 03/05/12 03/04/12 1:49 PM 739116312
ATM Purchase
D
0304TREVI NAILS NEW YORK NY 04124540000279396 -$84.00
03/06/12 03/05/12 12:36 PM 739116312
ATM
Purchase
D
0305W HOLLYWOOD PARKING 800-6872458 CA -$58.00 03/07/12
03/07/12 11:59 PM 739116312 Check
D
-$14,943.00 03/07/12 03/06/12 2:19 PM 739116312
ATM Purchase
D
0306FRED'S AT BARNEYS NY NEW YORK NY 04124540000279396 -$50.00
03/07/12 03/05/12 1:14 PM 739116312
ATM Purchase
D
0305NIOS SPA NEW YORK NY 04124540000279396 -$40.00
PROT26
03/08/12 03/08/12 9:49 PM 739116312
ACH Debit
D
A6774
WEB ID: 9493560001 $1,860.73 03/13/12 03/12/12 10:03 AM
739116312
ATM
Purchase
D
0312STARBUCKS CORP00008219 NEW YORK NY -$4.30 03/13/12
03/12/12 10:48 AM 739116312
ATM
Purchase
D
0312TREVI NAILS NEW YORK NY -$31.50 03/15/12 03/15/12
11:59 PM 739116312 Check
D
-$5,869.97 03/21/12 03/21/12 11:59 PM 739116312 Check
D
-$25.00 03/26/12 03/23/12 12:00 PM 739116312
ATM
Purchase
D
0323DYNAIRE SERVICE CORP MINEOLA NY -$222.11 03/26/12
03/24/12 1:36 PM 739116312
ATM Purchase
D
0324TREVI NAILS NEW YORK NY 04124540000279396 -$31.50
03/30/12 03/30/12 11:59 PM 739116312 Interest Payment C
$1.11 04/02/12 03/31/12 3:02 PM 739116312
ATM Purchase
D
0331TREVI NAILS NEW YORK NY 04124540000279396 -$31.50
04/02/12 04/02/12 5:09 PM 739116312 Deposit C $6,173.64
04/02/12 04/02/12 -$5,000.00 04/05/12 04/05/12 -$275.00
04/09/12 04/06/12 0406TREVI NAILS NEW YORK 04/09/12
04/07/12 0407TREVI NAILS NEW YORK 04/09/12 04/09/12
$2,196.46 04/10/12 04/10/12 -$3,151.87 04/16/12 04/13/12
6:41 PM 739116312
ATM Purchase
D
0413TREVI NAILS NEW YORK NY 04124540000279396 -$12.50
04/19/12 04/19/12 2:38 PM 739116312 Transfer
D
BOOK TRANSFER A/C: SAMANTHA K HARRIS NEW YORK, NY 100690605 TRN: 1038600110ES
-$5,000.00 04/23/12 04/22/12 1:43 PM 739116312
ATM Purchase
D
0422TREVI NAILS NEW YORK NY 04124540000279396 -$45.00
04/30/12 04/28/12 2:26 PM 739116312
ATM Purchase
D
0428TREVI NAILS NEW YORK NY 04124540000279396 -$31.50
04/30/12 04/30/12 11:59 PM 739116312 Interest Payment C
$1.05 04/30/12 04/30/12 3:40 PM 739116312 Transfer
D
100690605 TRN: 2098600121ES -$5,000.00 5:10 PM 739116312
Check
D
11:59 PM 739116312 Check
D
4:28 PM 739116312
ATM Purchase
D
NY
04124540000279396 -$68.00 2:18 PM 739116312
ATM Purchase
D
NY
04124540000279396 -$72.00 4:30 AM 739116312
ACH Debit
D
A7022 11:59 PM 739116312 Check
D
PROT27
05/03/12 05/03/12 11:59 PM 739116312 Check
D
-$2,320.40 05/08/12 05/08/12 9:58 PM 739116312
ACH Debit
D
A0816 $3,132.42 05/17/12 05/16/12 10:52 AM 739116312
ATM
Purchase
D
0516PAYPAL *APENIGINA 402-935-7733 CA -$123.50 05/21/12
05/18/12 7:41 PM 739116312
ATM Purchase
D
0518TREVI NAILS NEW YORK NY 04124540000279396 -$131.50
05/24/12 05/24/12 2:05 AM 739116312
ACH Debit
D
PAYPAL
ECHECK 5S3J25WAU4EE4
WEB ID: PAYPALEC77 $750.00 05/29/12 05/29/12 5:32 PM 739116312
Transfer
D
FEDWIRE DEBIT VIA: UNION LA AKA UBOC/122000496 A/C:
VIVIDMINDS INC REF:/TIME/17:31 IMAD: 0529B1QGC05C005181 TRN: 2305500150ES -
$7,500.00 05/30/12 05/30/12 12:14 PM 739116312 Outbound
D
YORK, NY 100690605 TRN: 0956100151ES -$5,000.00 05/30/12
05/30/12 12:14 PM 739116312 Outbound
D
CHIPS DEBIT VIA: BANK OF AMERICA, N.A./0959 A/C: STUDIO NUMBER ONE, INC. SSN: 0341158 TRN: 0956000151ES
-$1,500.00 05/31/12 05/31/12 11:59 PM 739116312 Interest
Payment C $0.92 06/01/12 05/30/12 10:03 AM 739116312
ATM
Purchase
D
0531JIM RAU DOG SHOWS LT 610-376-188 PA 04124540000440360
-$63.00 06/01/12 06/01/12 5:15 PM 739116312 Transfer
D
FEDWIRE DEBIT VIA: BK AMER NYC/026009593 A/C:
STUDIO NUMBER ONE INC IMAD: 060181QGCO6C010548 TRN: 2646700153ES -$5,000.00
06/04/12 05/31/12 7:12 PM 739116312
ATM Purchase
D
0531TREVI NAILS NEW YORK NY 04124540000440360 -$12.50
06/05/12 06/05/12 4:13 PM 739116312 Pre-Authorized
Payment D
AC# 000000739116312
TO
DDA AC# 000000739474235
AS REQUESTED
-
$10,000.00 06/06/12 06/06/12 2:07 PM 739116312 Pre-Authorized
Payment D
DDA A/C# 00000000000739116312 TO DDA A/C# 00000000000424613029 AS
REQUESTED -$2,000.00 06/08/12 06/08/12 9:40 PM 739116312
ACH Debit
D
A9832 $1,310.92 06/11/12 06/08/12 4:05 PM 739116312
ATM Purchase
D
0608TREVI NAILS NEW YORK NY 04124540000440360 -$52.50
06/12/12 06/08/12 11:59 PM 739116312
ATM
Return C 0608DYNAIRE SERVICE CORP MINEOLA NY $222.11
06/12/12 06/08/12 11:05 AM 739116312
ATM
Purchase
D
0608DYNAIRE SERVICE CORP MINEOLA NY
PROT28
-$2,564.01 06/13/12 06/13/12 11:59 PM 739116312 Check
D
-$2,500.00 06/15/12 06/14/12 12:17 PM 739116312
ATM
Purchase
D
0614TREVI NAILS NEW YORK NY -$97.00 06/15/12 06/15/12
5:12 PM 739116312 Transfer
D
FEDWIRE DEBIT VIA: UNION LA AKA UBOC/122000496 A/C:
VIVIDMINDS INC REF:/TIME/17:10 IMAD: 061581QGCO3C006854 TRN: 2049800167ES -
$2,000.00 06/15/12 06/15/12 5:22 PM 739116312 Transfer
D
100690605 TRN: 2063300167ES -$5,199.45 06/15/12 06/15/12
4:12 AM 739116312
ACH Debit Conexis
WEB PMTS
TCS351
WEB ID: 9000010047 $932.96 06/18/12 06/18/12 11:59 PM
739116312 Check
D
-$25,000.00 06/18/12 06/16/12 1:15 PM 739116312
ATM Purchase
D
0616BENKEI RIO DE JANEIR 04124540000440360BR Real 18.00 X 0.4894444 (EXCHG RTE)
-$8.81 06/19/12 06/19/12 11:59 PM 739116312 Check
D
-$19,865.00 06/19/12 06/19/12 11:59 PM 739116312 Check
D
-$1,393.60 06/27/12 06/27/12 11:59 PM 739116312 Cash Sweep
Transfer from Savings
C
$37,160.36 06/27/12 06/27/12 5:05 PM 739116312 Transfer
D
100690605 TRN: 1663700179ES -$5,000.00 06/28/12 06/26/12
4:25 PM 739116312
ATM Purchase
D
0626JIM RAU DOG SHOWS LT 610-376-188 PA 04124540000440360 -$65.00
06/29/12 06/29/12 11:59 PM 739116312 Interest Payment C
$0.45 07/09/12 07/09/12 4:26 AM 739116312
ACH Debit A4050 $1,900.86 07/12/12 07/12/12 11:00 AM
739116312 Outbound
D
YORK, NY 100690605 TRN: 0610100194ES -$5,126.12 07/24/12
07/24/12 4:17 AM 739116312
ACH Debit
GOLDEN RULE INS INS. PREM. 0903XXXXX
PPD ID: 9005900018 $37.39 07/25/12 07/25/12 4:41 AM 739116312
ACH Debit
GOLDEN RULE INS INS. PREM. 0901XXXXX $455.54 07/25/12
07/25/12 5:24 PM 739116312 Transfer
D
100690605 TRN: 0205900207ES -$5,000.00 07/31/12 07/31/12
11:59 PM 739116312 Interest
CASH SWEEP FROM SAVINGS XXXXX0721
PROT29
Payment C $0.38 08/06/12 08/06/12 11:59 PM 739116312
Check
D
-$150.98 08/08/12 08/08/12 9:42 PM 739116312
ACH Debit
D
A7652 $3,043.23 08/13/12 08/13/12 11:59 PM 739116312
Check
D
-$5,035.00 08/14/12 08/13/12 2:57 PM 739116312
ATM Purchase
D
0813NY STATE SERVICE FEE 615-567-6447 TN 04124540000440360 -$3.95
08/14/12 08/13/12 2:57 PM 739116312
ATM Purchase
D
0813NY STATE TAX PAYMENT 615-567-6447 TN 04124540000440360 -$105.50
08/15/12 08/15/12 5:05 PM 739116312 Transfer
D
100690605 TRN: 0256800228ES -$5,140.00 08/24/12 08/24/12
11:59 PM 739116312 Check
D
-$270.00 08/29/12 08/29/12 10:36 AM 739116312 Outbound
D
YORK, NY 100690605 TRN: 0037300242ES -$5,000.00 08/30/12
08/29/12 10:26 AM 739116312
ATM
Purchase
D
0829DYNAIRE SERVICE CORP MINEOLA NY -$2,014.19 08/31/12
08/31/12 11:59 PM 739116312 Interest Payment C $0.24
08/31/12 08/31/12 11:59 PM 739116312 Check
D
-$1,325.00 09/04/12 08/31/12 3:38 PM 739116312
ATM Purchase
D
0831TREVI NAILS & SPA NEW YORK NY 04124540000440360 -$40.00
09/04/12 09/01/12 7:55 AM 739116312
ATM Purchase
D
0901STARBUCKS CORP00008219 NEW YORK NY 04124540000440360 -$4.30
09/05/12 09/05/12 11:59 PM 739116312 Cash Sweep
C
$35,125.30 09/05/12 09/05/12 5:59 PM 739116312
ACH Debit
D
$37.39 09/05/12 09/05/12 5:59 PM 739116312
ACH Debit
D
$371.92 09/10/12 09/08/12 6:14 PM 739116312
ATM Purchase
D
0908TREVI NAILS & SPA NEW YORK NY 04124540000440360 -$65.50
09/10/12 09/10/12 4:13 AM 739116312
ACH Debit
D
A2968 $3,144.86 09/11/12 09/11/12 11:59 PM 739116312
Check
D
-$5,078.00 09/14/12 09/14/12 11:59 PM 739116312 Check
D
-$1,100.00 09/14/12 09/13/12 9:11 AM 739116312
ATM Purchase
D
0913DYNAIRE SERVICE CORP MINEOLA NY 04124540000440360 -$693.50
PROT30
09/17/12 09/15/12 9:50 AM 739116312
ATM Purchase
D
0915TREVI NAILS & SPA NEW YORK NY 04124540000440360 -$12.50
09/17/12 09/17/12 5:26 PM 739116312 Transfer
D
100690605 TRN: 0202200261ES -$3,383.00 09/28/12 09/28/12
11:59 PM 739116312 Interest Payment C $0.28 10/02/12
10/02/12 4:21 AM 739116312
PPD
$37.39 10/02/12 10/02/12 9:45 AM 739116312 Transfer
D
BOOK TRANSFER A/C: SAMANTHA K 100690605 TRN: 0011000276ES
-$5,000.00 10/02/12 10/02/12 4:21 AM 739116312
PPD
$371.92 10/05/12 10/05/12 11:59 PM -$2,500.00 10/09/12
10/09/12
AMERICAN EXPRESS ACH $1,821.89 10/11/12 10/11/12
PAYPAL $500.00 10/18/12 10/18/12 -$1,102.00 10/18/12
10/18/12 5:20 PM 739116312 Transfer
D
BOOK TRANSFER A/C: SAMANTHA 100690605 TRN: 0173500292ES
-$5,391.80 10/23/12 10/21/12 2:45 PM 739116312
ATM Purchase
D
1021TREVI NAILS & SPA NEW YORK NY 04124540000440360 -$135.50
10/23/12 10/23/12 11:59 PM 739116312 Check
D
-$227.50 10/24/12 10/24/12 2:13 AM 739116312
ACH Debit
PAYPAL
ECHECK 5S3J26CSXXVZ2
WEB ID: PAYPALEC77 $4,750.00 10/29/12 10/27/12 11:04 AM
739116312
ATM
Purchase
D
1027TREVI NAILS & SPA NEW YORK NY -$12.50 10/29/12
10/28/12 5:40 PM 739116312
ATM Purchase
D
1028TREVI NAILS & SPA NEW YORK NY 04124540000440360 -$40.50
10/31/12 10/31/12 11:59 PM 739116312 Interest Payment C
$0.22 11/02/12 11/02/12
ACH Debit $371.92 11/02/12 11/02/12
ACH Debit $37.39 11/05/12 11/05/12 5:15 PM 739116312
Transfer
D
ACH Debit
ID: 9005900018
ACH Debit
ID: 9005900018 739116312 Check
D
4:25 AM 739116312
ACH Debit
PMT
A7702 2:18 AM 739116312
ACH Deposit
TRANSFER 5S3JXXBDTYGPC
PPD ID: PAYPALSD11
D
C
11:59 PM 739116312 Check
D
PROT31
100690605 TRN: 0232600310ES 11/05/12 11/05/12
C
$40,038.67 11/05/12 11/01/12 3:42 PM 739116312
ATM Purchase
D
1101JIM RAU DOG SHOWS LTD 610-376-1880 PA04124540000440360 -$100.50
11/08/12 11/08/12 9:32 PM 739116312
ACH Debit
D
A5818 $5,385.29 11/09/12 11/09/12 12:11 PM 739116312
Outbound
D
CHIPS DEBIT VIA: UNION BANK NA/0049 A/C:
VIVIDMINDS INC SSN: 0333816 TRN: 0100800314ES -$2,000.00
11/13/12 11/10/12 2:59 PM 739116312
ATM Purchase
D
1110TREVI NAILS & SPA NEW YORK NY 04124540000440360 -$31.50
11/13/12 11/13/12 12:44 PM 739116312 Check
D
-$5,000.00 11/14/12 11/14/12 12:05 PM 739116312 Check
D
-$5,000.00 11/15/12 11/15/12 11:59 PM 739116312 Check
D
-$275.00 11/15/12 11/15/12 11:59 PM 739116312 Check
D
-$985.00 11/15/12 11/13/12 5:13 PM 739116312
ATM Purchase
D
1113THE STANDARD IMAGE 603-3577086 NH 04124540000440360 -$43.00
11/19/12 11/19/12 9:01 AM 739116312 Transfer
D
100690605 TRN: 1001100324ES -$5,000.00 11/21/12 11/21/12
3:39 PM 739116312 Check Non Enclosable
D
-$2,506.10 11/29/12 11/28/12 2:08 PM 739116312
ATM Purchase
D
1128DYNAIRE SERVICE CORP MINEOLA NY 04124540000440360 -$1,482.92
11/30/12 11/30/12 11:59 PM 739116312 Interest Payment C
$0.25 12/03/12 12/03/12 2:18 PM 739116312 Transfer
D
100690605 TRN: 1453400338ES -$5,000.00 12/04/12 12/04/12
5:36 PM 739116312
ACH Debit
D
$371.92 12/04/12 12/04/12 5:36 PM 739116312
ACH Debit
D
$37.39 12/04/12 12/04/12 11:59 PM 739116312 Cash Sweep
C
$35,117.87 12/04/12 12/04/12
D
VIVIDMINDS INC SSN: 0297085 TRN:
12/10/12 12/10/12 $1,029.12 -$5,161.00 11:59 PM 739116312
Cash Sweep 11:13 AM 739116312 Outbound
CHIPS DEBIT VIA: UNION BANK NA/0049 A/C:
1075000339ES -$2,000.00
ACH Debit
D
A8660
PROT32
12/10/12 12/10/12 11:59 PM 739116312 Check
D
-$3,650.00 12/10/12 12/10/12 11:59 PM 739116312 Check
D
-$7,980.00 12/10/12 12/03/12 1:38 PM 739116312
ATM Purchase
D
1203SKYPE COMMUNICATIO LUXEMBOURG 04124540000440360Pound
Ster110.00 X 1.606000 (EXCHG RTE) -$16.06 12/10/12
12/03/12 2:03 PM 739116312
ATM Purchase
D
1203SKYPE COMMUNICATIO LUXEMBOURG 04124540000440360Pound
Ster110.00 X 1.606000 (EXCHG RTE) -$16.06 12/11/12
12/11/12 11:59 PM 739116312 Check
D
-$2,223.00 12/17/12 12/17/12 10:13 AM 739116312 Outbound
D
YORK, NY 100690605 TRN: 1066900352ES -$5,197.89 12/19/12
12/19/12 11:59 PM 739116312 Check
D
-$3,836.57 12/20/12 12/19/12 9:00 AM 739116312
ATM Purchase
D
1219VOYAGER 1 83239 SAINT MARTIN 04124540000440360Euro
60.00 X 1.330833 (EXCHG RTE) -$79.85 12/21/12 12/21/12
11:59 PM 739116312 Check
D
-$498.00 12/21/12 12/21/12 4:50 PM 739116312 Transfer
D
CHIPS DEBIT VIA: UNION BANK NA/0049 A/C: VIVIDMINDS
INC SSN: 0488452 TRN: 1411300356ES -$5,937.50 12/31/12
12/31/12 11:59 PM 739116312 Interest Payment C $0.25
01/03/13 01/03/13 11:59 PM 739116312 Cash Sweep
C
$35,922.11 01/03/13 01/03/13 4:55 PM 739116312 Transfer
D
100690605 TRN: 1209900003ES -$5,049.00 01/03/13 01/03/13
5:36 PM 739116312
ACH Debit
D
$371.92 01/03/13 01/03/13 5:36 PM 739116312
ACH Debit
D
$37.39 01/08/13 01/08/13 11:43 PM 739116312
ACH
Debit
D
A5462
WEB ID:
9493560001 -$5,857.61 01/10/13 01/09/13 9:47 AM 739116312
ATM Purchase
D
0109DYNAIRE SERVICE CORP MINEOLA NY 04124540000440360 -$120.85
01/15/13 01/15/13 4:42 PM 739116312 Transfer
D
100690605 TRN: 1299100015ES -$5,250.00 01/23/13 01/23/13
11:59 PM 739116312 Check
D
-$25.00 01/31/13 01/31/13 11:59 PM 739116312 Interest
Payment C $0.34
PROT33
02/01/13 02/01/13 4:17 PM 739116312 Transfer
D
100690605 TRN: 1523800032ES -$5,942.30 02/04/13 02/02/13
9:15 PM 739116312 Card Purchase with
PIN
D
8482410202EXQUISITE 9565 SANTA BEVERLY HILLS
CA04124540000440360 -$73.00 02/04/13 02/04/13 4:31 AM 739116312
ACH Debit
D
$37.39 02/04/13 02/04/13 4:31 AM 739116312
ACH Debit
D
GOLDEN RULE INS INS PREM. 0901XXXXX $371.92 02/08/13
02/08/13 9:32 PM 739116312
ACH Debit
D
A8258 $4,089.67 02/14/13 02/14/13 3:53 PM 739116312
Transfer
D
100690605 TRN: 1119900045ES -$5,164.35 02/15/13 02/13/13
10:16 AM 739116312
ATM
Purchase
D
021330AN L KENT MC PC NEW YORK NY -$500.00 02/19/13
02/16/13 5:14 PM 739116312
ATM Purchase
D
0216ESPA CORP NEW YORK NY 04124540000440360 -$64.50
02/28/13 02/28/13 11:59 PM 739116312 Interest Payment C
$0.20 03/01/13 02/27/13 11:21 AM 739116312
ATM
Purchase
D
0227JIM RAU DOG SHOWS LTD 610-376-1880
PA04124540000440360 -$167.50 03/04/13 03/04/13 4:18 AM 739116312
ACH Debit
D
$37.39 03/04/13 03/04/13 4:18 AM 739116312
ACH Debit
D
$371.92 03/05/13 03/05/13 11:59 PM 739116312 Check
D
-$4,066.73 03/07/13 03/07/13 11:59 PM 739116312 Cash Sweep
C
$36,954.59 03/07/13 03/07/13 2:14 PM 739116312 Transfer
D
100690605 TRN: 1093600066ES -$4,815.00 03/08/13 03/08/13
9:35 PM 739116312
ACH Debit
D
A4840 $1,715.19 03/11/13 03/09/13 3:37 PM 739116312
ATM Purchase
D
0309ESPA CORP NEW YORK NY 04124540000440360 -$79.00
03/18/13 03/16/13 12:57 PM 739116312
ATM
Purchase
D
0316ESPA CORP NEW YORK NY -$63.00 03/19/13 03/19/13
11:42 AM 739116312 Outbound
PROT34
D
YORK, NY 100690605 TRN: 1074800078ES -$5,164.35 03/21/13
03/21/13 6:52 AM 739116312 Transfer
C
FEDWIRE CREDIT VIA: HSBC BANK USA N.A./021001088 8/-
0: GNAT AND COMPANY LIMITED RD CENTRAL HK REF: CHASE NYC/CTR/BNF=GHISLAINE
MAXWELL MIAMI FL 33139-1043/AC-000000007391 RFB=HK1210331S7CM4SG
OBI=DIVIDEND 2012 BBI=/CHGS/USD25,00/TIME/IMAD: 0321B1Q8982C001174 TRN:
0363309080FF $24,260.71 03/27/13 03/27/13 11:59 PM
739116312 Check
D
-$5,000.00 03/27/13 03/27/13 11:59 PM 739116312 Check
D
-$4,875.95 03/29/13 03/29/13 11:41 AM 739116312 Outbound
D
YORK, NY 100690605 TRN: 1073400088ES -$5,000.00 03/29/13
03/29/13 11:59 PM 739116312 Interest Payment C $0.37
04/02/13 04/02/13 4:12 AM 739116312
ACH Debit
D
$37.39 04/02/13 04/02/13 4:12 AM 739116312
ACH Debit
D
GOLDEN RULE INS INS PREM. 0901XXXXX $371.92 04/03/13
04/03/13 11:59 PM 739116312 Check
D
-$1,723.00 04/03/13 04/03/13 11:59 PM 739116312 Check
D
-$4,202.00 04/08/13 04/08/13 9:36 PM 739116312
ACH Debit
D
A7032 $2,155.89 04/09/13 04/09/13 11:59 PM 739116312
Check
D
-$1,250.00 04/12/13 04/12/13 11:59 PM 739116312 Check
D
-$164.97 04/15/13 04/15/13 4:18 AM 739116312
ACH Deposit
C
PAYPAL
TRANSFER 5S3JXXXTXA6GU
PPD ID: PAYPALSD11 $250.00 04/15/13 04/15/13 10:09 AM
739116312 Outbound
D
YORK, NY 100690605 TRN: 1104500105ES -$5,175.00 04/25/13
04/25/13 11:04 AM 739116312 Outbound
D
YORK, NY 100690605 TRN: 1079200115ES -$5,049.00 04/30/13
04/30/13 11:59 PM 739116312 Interest Payment C $0.35
05/02/13 05/02/13 4:10 AM 739116312
ACH Debit
D
$37.39 05/02/13 05/02/13 4:10 AM 739116312
ACH Debit
D
$371.92
PROT35
05/03/13 05/03/13 5:28 PM 739116312 Check
D
-$5,000.00 05/06/13 05/06/13 2:52 PM 739116312 Check
D
-$5,000.00 05/08/13 05/08/13 9:36 PM 739116312
ACH Debit A4918 $4,040.78 05/13/13 05/13/13
C
$37,378.32 05/13/13 05/13/13 2:24 PM 739116312 Transfer
D
100690605 TRN: 1105000133ES -$5,413.00 05/21/13 05/21/13
2:17 AM 739116312
ACH Debit
STATE OF DELAWAR 3027393077 6616XXXXX428
PPD ID: 2516000279 $250.00 05/22/13 05/22/13 2:09 PM 739116312
Deposit C $30,635.00 05/30/13 05/30/13 5:06 PM 739116312
Transfer
D
100690605 TRN: 1279900150ES -$5,159.45 05/30/13 05/28/13
7:08 PM 739116312
ATM Purchase
D
0528ESPA CORP NEW YORK NY 04124540000580629 -$37.00
05/31/13 05/29/13 7:37 AM 739116312
ATM Purchase
D
0529JIM RAU DOG SHOWS LTD 610-376-1880 PA04124540000580629 -$67.00
05/31/13 05/31/13 11:59 PM 739116312 Interest Payment C
$0.41 06/04/13 06/04/13
ACH Debit $371.92 06/04/13 06/04/13
ACH Debit $37.39 06/07/13 06/05/13 10:41 AM 739116312
ATM
Purchase
D
0606MB F DOG SHOWS INFODOG 336-3799352
NC04124540000580629 -$231.65 06/10/13 06/10/13 4:43 AM 739116312
ACH Debit A6496 $6,848.54 06/10/13 06/10/13 8:50 AM 739116312
Pre-Authorized Payment D Payment to Chase card ending in 4880
-$8,322.30 06/12/13 06/12/13 4:53 PM 739116312 Transfer
D
100690605 TRN: 1223000163ES -$7,365.68 06/28/13 06/28/13
11:59 PM 739116312 Check
D
-$250.00 06/28/13 06/28/13 11:59 PM 739116312 Interest
Payment C $0.45 07/01/13 07/01/13 1:19 PM 739116312
Transfer
D
100690605 TRN: 1422600182ES -$6,428.69 11:59 PM 739116312
Cash Sweep
PROT36
07/02/13 07/02/13 5:33 AM 739116312
ACH Debit
GOLDEN RULE INS INS PREM. 0903XXXXX $37.39 07/02/13
07/02/13 5:33 AM 739116312
ACH Debit
GOLDEN RULE INS INS PREM. 0901XXXXX
D
D
$371.92 07/02/13 07/02/13 11:59 PM 739116312 Check
D
-$4,369.00 07/08/13 07/08/13 9:40 PM 739116312
ACH Debit
D
A2566 $4,337.28 07/09/13 07/09/13 10:24 AM 739116312
Check
D
-$5,000.00 07/12/13 07/12/13 4:32 PM 739116312 Transfer
D
BOOK TRANSFER A/C: SAMANTHA 100690605 TRN: 1214300193ES
-$5,205.53 07/22/13 07/22/13 11:59 PM -$212.97 07/25/13
07/24/13 10:18 AM Purchase
D
0724DYNAIRE SERVICE 04124540000580629 -$5,722.47 07/31/13
07/31/13 11:59 PM Payment C $0.27 08/02/13 08/02/13
4:11 AM 739116312
ACH Debit $39.64 08/02/13 08/02/13 4:11 AM 739116312
ACH Debit $419.25 08/05/13 08/05/13 10:10 AM 739116312
Outbound
D
YORK, NY 100690605 TRN: 1056000217ES -$5,000.00 08/05/13
08/05/13
ACH Debit
CHASE
AUTOPAY 0000XXXXX033603 PPD ID: 4760039224 $130.25
08/05/13 08/05/13
C
$35,579.19 08/08/13 08/08/13 9:30 PM 739116312
ACH Debit A4530 $11,486.37 08/16/13 08/16/13 2:41 PM 739116312
Transfer
D
100690605 TRN: 1154600228ES -$4,292.00 08/28/13 08/28/13
4:59 PM 739116312 Transfer
D
100690605 TRN: 1253500240ES -$4,500.00 08/28/13 08/26/13
4:33 PM 739116312
ATM Purchase
D
0826THE STANDARD IMAGE 603-3577086 NH 04124540000580629 -$40.00
08/29/13 08/29/13 11:59 PM 739116312 Check
D
-$3,995.00 K HARRIS NEW YORK, NY 739116312 Check
D
739116312
ATM
CORP MINEOLA NY 739116312 Interest 11:59 PM 739116312
Cash Sweep
PROT37
08/30/13
PAYPAL $2.90 08/30/13 Payment C 09/03/13
PAYPAL $2.90 09/03/13 09/02/13 3:27 PM 739116312
ATM Purchase
D
0902ESPA CORP NEW YORK NY 04124540000580629 -$41.00
09/04/13 09/05/13 12:32 AM 739116312
ACH
Debit
D
CHASE
AUTOPAY 0000XXXXX034180 PPD ID:
4760039224 -$92.50 09/04/13 09/04/13 4:44 AM 739116312
ACH Debit
D
$39.64 09/04/13 09/04/13 4:44 AM 739116312
ACH Debit
D
$419.25 09/09/13 09/09/13 4:19 AM 739116312
ACH Debit
D
A7632 $3,535.07 09/13/13 09/12/13 11:55 AM 739116312
ATM
Purchase
D
0912ESPA CORP NEW YORK NY 04124540000580629 -$65.00
09/16/13 09/14/13 10:40 AM 739116312
ACH
Debit
D
PAYPAL
ECHECK 5S1727FFA3S5S
WEB ID:
PAYPALEC77 -$420.00 09/17/13 09/17/13 11:59 PM 739116312
Check
D
-$1,534.00 09/30/13 09/30/13 11:59 PM 739116312 Interest
Payment C $0.18 10/02/13 10/02/13 5:42 PM 739116312
ACH Debit
D
$419.25 10/02/13 10/02/13 5:42 PM 739116312
ACH Debit
D
$39.64 10/08/13 10/08/13 4:36 PM 739116312 Check
D
-$5,000.00 10/08/13 10/08/13
C
$45,942.84 10/08/13 10/08/13 9:35 PM 739116312
ACH Debit
D
A0676 $10,018.78 10/15/13 10/14/13 4:07 PM 739116312
ATM Purchase
D
1014NY PRESBYTERIAN WEB PA 212-5856669 NY04124540000580629 -$602.60
10/15/13 10/11/13 12:24 PM 739116312
ATM
Purchase
D
1011Blue Lagoon Internet Grindavik 04124540000580629Euro
91.00 X 1.358242 (EXCHG RTE) -$123.60 08/30/13 2:16 AM 739116312
ACH Debit
INST XFER 5S3J27E3AG9R8
WEB ID: PAYPALSI66 08/30/13 11:59 PM 739116312 Interest
$0.28 09/03/13 4:23 AM 739116312
ACH Debit
D
INST XFER 5S3J27EADGU3E
WEB ID: PAYPALSI66 11:59 PM 739116312 Cash Sweep
PROT38
10/17/13 10/17/13 11:59 PM 739116312 Check
D
-$12,369.00 10/22/13 10/21/13 12:59 PM 739116312
ATM
Purchase
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1021NYU SCHOOL OF MED IVF 212-263-0041
NY04124540000580629 -$1,000.00 10/23/13 10/22/13 11:31 AM
739116312
ATM
Purchase
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1022MIAMI DADE XPRSSWY AU 305-637-3277
FL04124540000580629 -$3.00 10/29/13 10/28/13 4:44 PM 739116312
ATM Purchase
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1028SUNBIZ.ORG / FL. FILI 850-245-6939 FL04124540000580629 -$521.25
10/30/13 10/28/13 1:06 PM 739116312
ATM Purchase
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1028ESPA CORP NEW YORK NY 04124540000580629 -$85.00
10/31/13 10/31/13 11:59 PM 739116312 Interest Payment C
$0.30 11/01/13 11/01/13 3:59 PM 739116312 Deposit C
$609.00 11/04/13 11/04/13 9:37 PM 739116312
ACH Debit
D
$419.25 11/04/13 11/04/13 9:37 PM 739116312
ACH Debit
D
$39.64 11/04/13 11/05/13 12:32 AM 739116312
ACH
Debit
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CHASE
AUTOPAY 0000XXXXX034689 PPD ID:
4760039224 -$180.00 11/06/13 11/05/13 6:55 PM 739116312
ATM Purchase
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1105KRAVET/LEE JOFA 800-645-9068 NY 04124540000580629 -$1,078.40
11/07/13 11/06/13 10:30 AM 739116312
ATM
Purchase
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1106NY PRESBYTERIAN WEB PA 212-5856669
NY04124540000580629 -$602.60 11/08/13 11/08/13 9:29 PM 739116312
ACH Debit
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A7240 $4,707.00 11/15/13 11/15/13 11:59 PM 739116312
Check
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-$3,196.00 11/22/13 11/20/13 11:31 AM 739116312
ATM
Purchase
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1121MB F DOG SHOWS INFODOG 336-3799352
NC04124540000580629 -$105.85 11/26/13 11/26/13 11:59 PM
739116312 Check
D
-$1,250.00 11/26/13 11/26/13 1:58 PM 739116312 Check
D
-$5,000.00 11/27/13 11/26/13 9:05 AM 739116312
ATM Purchase
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1126PAYPAL *DREAMBIGFOU 402-935-7733 CA 04124540000580629 -$150.00
11/29/13 11/29/13 11:59 PM 739116312 Interest Payment C
$0.22 12/03/13 12/03/13 4:14 AM 739116312
ACH Debit
D
$419.25 12/03/13 12/03/13 4:14 AM 739116312
ACH Debit
D
PROT39
$39.64 12/04/13 12/05/13 12:32 AM 739116312
ACH
Debit
D
CHASE
AUTOPAY 0000XXXXX035045 PPD ID:
4760039224 -$143.00 12/09/13 12/09/13 4:19 AM 739116312
ACH Debit A6192 $2,305.12 12/13/13 12/13/13 3:33 PM 739116312
Deposit C $602.60 12/31/13 12/31/13 Payment C $0.15
01/03/14 01/04/14 12:35 AM 739116312
ACH
Debit
D
CHASE
AUTOPAY 0000XXXXX075709 PPD ID:
4760039224 -$238.00 01/03/14 01/03/14 5:39 PM 739116312
ACH Debit $419.25 01/03/14 01/03/14 5:39 PM 739116312
ACH Debit $39.64 01/06/14 01/06/14
C
$38,824.82 01/06/14 01/06/14 5:41 PM 739116312 Check
D
-$5,000.00 01/08/14 01/08/14 11:42 PM 739116312
ACH
Debit
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A9084
WEB ID:
9493560001 -$2,008.88 01/15/14 01/14/14 12:36 PM 739116312
ATM
Purchase
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0114ESPA CORP NEW YORK NY 04124540000580629 -$43.00
01/17/14 01/17/14 11:59 PM 739116312 -$4,203.84 01/17/14
01/17/14 11:59 PM 739116312 -$13,000.00 01/31/14 01/31/14
11:59 PM 739116312 Payment C $0.29 02/05/14 02/05/14
5:32 PM 739116312
ACH Debit $419.25 02/05/14 02/05/14 5:32 PM 739116312
ACH Debit $39.64 02/10/14 02/10/14
ACH Debit A4216 $3,086.70 02/18/14 02/15/14 11:16 AM
739116312
ATM
Purchase
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0215SQ *STARBUCKS #00821 NE New York NY 04124540000580629
-$4.30 02/18/14 02/14/14 0214AMALI NEW YORK NY 11:59 PM
739116312 Interest
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[repeated 3 times] 11:59 PM 739116312 Cash Sweep Check
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Check
D
Interest
D
[repeated 3 times] 8:36 PM 739116312
ATM Purchase
D
04124540000580629 -$146.94
PROT40
02/26/14 02/26/14 5:57 PM 739116312 Transfer
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FEDWIRE DEBIT VIA: UBS AG NYC/026007993 A/C: UBS
FINANCIAL SERVICES INC BEN: GHISLAINE MAXWELL IMAD: 0226B1QGC06C013265 TRN:
1393400057ES -$27,047.74 02/26/14 02/26/14
C
$50,000.00 02/28/14 Payment C 03/03/14 Payment D 0002916490721
03/04/14
GOLDEN $419.25 03/04/14 Debit
D
4760039224 03/04/14
GOLDEN $39.64 03/05/14 03/05/14 11:40 AM 739116312
Inbound
C
026007993 B/0: GHISLAINE MAXWELL NEW YORK NY 10065-7007 REF: CHASE NYC/CTR/-
BNF=GHISLAINE MAXWELL MIAMI FL 33139-1043/AC-000000007391
RFB554420140305PW BBI=/TIME/11:38 IMAD: 0305B6B7IK1C001875 TRN:
2155309064FF $672.86 03/31/14 03/31/14 11:59 PM 739116312
Interest Payment C $0.03 04/01/14 04/01/14 9:35 AM 739116312
Overdraft Interest Charge D
OVERDRAFT INTEREST APPLIED DURING MAR 2014 BASED ON AVG NEG
BALANCE $21 RATE 07.49% TRN: 0111000552X0 -$0.14 04/02/14
04/02/14 4:20 AM 739116312
ACH Debit $39.64 04/02/14 04/02/14 4:20 AM 739116312
ACH Debit $419.25 04/04/14 Deposit C $459.00 Sheet2
Sheet3 02/28/14 $0.23 03/03/14
AS REQUESTED -$50,000.00 03/04/14
03/05/14
CHASE -$214.20 03/04/14
RULE INS INS.
11:59 PM 739116312 Cash Sweep 11:59 PM 739116312 Interest
9:08 AM 739116312 Pre-Authorized
FROM 0000739116312 TO 4:16 AM 739116312
ACH Debit 0901XXXXX 12:33 AM 739116312
ACH
AUTOPAY 0000XXXXX036322 PPD ID:
4:16 AM 739116312
ACH Debit
PREM. 0903XXXXX 04/04/14 1:52 PM 739116312 Pre-Authorized
AS REQUESTED
PROT41